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Records found: 190  
Your query: Keywords = "hedging"
  1. ŽIVANOVIĆ, Vladimir - VITOMIR, Jelena - ĐORĐEVIĆ, Bojan. Portfolio Diversification During Covid-19 Outbreak: Is Gold a Hedge and a Safe-Haven Asset? In Prague Economic Papers : a Bimonthly Journal of Economic Theory and Policy. - Prague : University of Economics, 2022. ISSN 1210-0455, 2022, vol. 31, no. 2, s. 169-194.
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  2. NEKHILI, Ramzi. Are Bitcoin Futures Contracts for Hedging or Speculation? In Investment Management and Financial Innovations. - Sumy : LLC "Consulting Publishing Company "Business Perspectives", 2020. ISSN 1810-4967, 2020, vol. 17, no. 3, pp. 1-9.
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  3. CHOVANCOVÁ, Božena - ÁRENDÁŠ, Peter. Manažment portfólia v kolektívnom investovaní. Recenzovali: Ľuboš Pavelka, Daniela Tkáčová. 1. vydanie. Praha : Wolters Kluwer ČR, 2020. 333 s. [17 AH]. VEGA 1/0009/17. ISBN 978-80-7598-638-2. [Copy count : 5, currently available 0, at library only 1]
    Manažment portfólia v kolektívnom investovaní

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  4. MATUŠOVIČ, Martin - VESELÝ, Peter - PAWERA, René. Protection of Competition - the Global Economic Crisis VI. Reviewers: Miroslav Tóth, Ivan Karkuš. 1st Edition. Mukařov - Srbín : Ľuboš Janica, 2018. [190 s.] [9,45 AH]. ISBN 978-80-270-1037-0.
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  5. SLANINKA, František - KADEROVÁ, Andrea. Barrier option in practice. In Aktuárska veda v teórii a v praxi 2017 : recenzovaný zborník vedeckých prác. - Bratislava : Vydavateľstvo EKONÓM, 2017. ISBN 978-80-225-4438-2, s. 109-112 CD-ROM. VEGA 1/0221/17.
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  6. MIROVIĆ, Vera - NJEGIĆ, Jovan - ŽIVKOV, Dejan. Construction of commodity portfolio and its hedge effectiveness gauging – revisiting DCC models. In Finance a úvěr : Czech journal of economics and finance. - Praha : UK Praha, Fakulta sociálních věd, 2017. ISSN 2464-7683, 2017, roč. 67, č. 5, pp. 396-422 online.
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  7. VALDEZ, Stephen - MOLYNEUX, Philip. An introduction to global financial markets. 8th ed. London : Palgrave/Macmillan Education, 2016. xxxiv, 518 s. ISBN 978-1-137-49755-0. [Copy count : 2, currently available 1, at library only 1]
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  8. HLAVÁČEK, Pavel. Strategie zajišťování států jihovýchodní Asie. In Mezinárodní vztahy. - Praha : Institute of International Relations, 2016. ISSN 0323-1844, 2016, roč. 51, č. 4, s. 53-72.
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  9. IVANOVÁ, Pavlína. Bankový a podnikový sektor a hrozba ďalšej bubliny finančného sektora. In Hospodárske noviny. - Bratislava : MAFRA Slovakia. ISSN 1335-4701, 10.4.2015, [s. 1-4], [1,5 NS], online. Available on Internet: <http://blogy.hnonline.sk/pavlina-ivanova/bankovy-a-podnikovy-sektor-a-hrozba-dalsej-bubliny-financneho-sektora-6-cast>
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  10. RUSNÁKOVÁ, Martina. Commodity price risk management using option strategies. In Agricultural economics. - Prague : Czech academy of agricultural sciences, 2015. ISSN 0139-570X, 2015, vol. 61, no. 4, p. 149-157.
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