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Records found: 55  
Your query: Keywords = "riziko investičné"
  1. PEKÁR, Juraj - BREZINA, Ivan - REIFF, Marian. Analysis of Financial Indicators Development of the World's Largest Environmental Companies. In Strategic Management and Decision Support Systems in Strategic Management SM 2023. International Scientific Conference. Strategic Management and Decision Support Systems in Strategic Management SM 2023 : 28th International Scientific Conference, Subotica, Serbia 18-19 May, 2023. - Subotica : University of Novi Sad, The Faculty of Economics, 2023. ISBN 978-86-7233-416-6, pp. 389-393. VEGA 1/0120/23.
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  2. PEKÁR, Juraj - BREZINA, Ivan - REIFF, Marian. Investment Portfolio Selection From Shares of Environmental Companies. In Mathematical Methods in Economics. International Conference. 41th International Conference on Mathematical Methods in Economics (MME 2023) : Proceedings. - Praha : The Czech Society for Operations Research, 2023. ISBN 978-80-11-04132-8. ISSN 2788-3965, pp. 332-336. VEGA 1/0120/23.
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  3. KOCÚREK, Martin. Optimal Investment Strategies of Conservative Investor – Reinsurer. In INPROFORUM : International Scientific Conference. Challenges and Opportunities in the Digital World. 17th International Scientific Conference INPROFORUM : Challenges and Opportunities in the Digital World. - České Budějovice : Jihočeská univerzita v Českých Budějovicích, 2023. ISBN 978-80-7694-053-6. ISSN 2336-6788 (Online ISSN), pp. 359-365.
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  4. JANÁČ, Viliam. Postavenie investorov v startupových spoločnostiach. In Súkromné právo : recenzovaný časopis zameraný na otázky aplikačnej praxe. - Bratislava : Wolters Kluwer SR, 2023. ISSN 1339-8652, 2023, roč. 9, č. 6, s. 192-200.
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  5. CHAN, Ronald W. Investiční legendy : lekce investování od špičkových fond manažerů. 1. vydání. Tetčice : Impossible, 2022. 312 s. ISBN 978-80-87673-35-5. [Copy count : 1, currently available 0, at library only 1]
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  6. SIEBER, Jakub. Analysing Value-At-Risk of Sovereign Bond Investment Portfolio During COVID-19. In Zlepšovanie procesov pomocou štatistických metód XVIII. (2022). Zlepšovanie procesov pomocou štatistických metód XVIII. (2022) : recenzovaný zborník príspevkov a abstraktov z 18. medzinárodnej vedeckej konferencie, 09.-11.03. 2022, (Košice, Slovensko). - Košice : KKM PHF, 2022. ISBN 978-80-225-4945-5, s. 20-26.
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  7. PEKÁR, Juraj - BREZINA, Ivan - REIFF, Marian. Identification of Investment Strategies for Portfolio Selection Utilizing the Markov Switching Model and Optimization Model of Portfolio Selection with Conditional Value-at-Risk. - Registrovaný: Web of Science. In Mathematical Methods in Economics 2022. International Conference. 40th International Conference on Mathematical Methods in Economics (MME 2022) : Proceedings, 7 - 9 September 2020 Jihlava, Czech Republic. - Jihlava : College of Polytechnics Jihlava, 2022. ISBN 978-80-88064-62-6, pp. 262-267 online. VEGA 1/0339/20.
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  8. KANNADAS, S. Investment Behavior of Short-term Versus Long-term Individual Investors of PAN India – An Empirical Study. In Investment Management and Financial Innovations. - Sumy : LLC "Consulting Publishing Company "Business Perspectives", 2021. ISSN 1810-4967, 2021, vol. 18, no. 2, s. 223-233.
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  9. KUMAR, Rahul - BHATIA, Prince - GUPTA, Deeksha. The Impact of the COVID-19 Outbreak on the Indian Stock Market – a Sectoral Analysis. In Investment Management and Financial Innovations. - Sumy : LLC "Consulting Publishing Company "Business Perspectives", 2021. ISSN 1810-4967, 2021, vol. 18, no. 3, s. 334-346.
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  10. ŠKRINIAR, Pavel. Obavy zo straty sú namieste. Časom však pominú. In Denník N. - Bratislava : N Press, 2020. ISSN 1339-844X, 12.5.2020, s. [1-3] online.
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