Výsledky vyhľadávania

Nájdených záznamov: 116  
Vaša otázka: Autor-kód záznamu + druh.dok = "^eu_un_auth 0037794 xcla^"
  1. VYLETELKA, Michal. ESG Score Uncertainty and Excess Stock Returns: European Stock Market Case. In Prague Economic Papers : a Bimonthly Journal of Economic Theory and Policy. - Prague : University of Economics, 2024. ISSN 2336-730X, 2024, vol. 33, no. 2, s. 137-163.
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  2. PLASTUN, Alex et al. ESG vs Conventional Indices: Comparing Efficiency in the Ukrainian Stock Market. In Investment Management and Financial Innovations. - Sumy : LLC "Consulting Publishing Company "Business Perspectives", 2023. ISSN 1810-4967, 2023, vol. 20, no. 2, pp. 1-15.
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  3. TADAS, Harikrishna et al. The Effectiveness of Technical Trading Strategies: Evidence From Indian Equity Markets. In Investment Management and Financial Innovations. - Sumy : LLC "Consulting Publishing Company "Business Perspectives", 2023. ISSN 1810-4967, 2023, vol. 20, no. 2, pp. 26-40.
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  4. PRASAD, Anita - GOSWAMI, Anandajit - GURTU, Amulya. Influence of Demonetization on Various Sectors of the Indian Economy. In Strategic Management : International Journal of Strategic Management and Decision Support Systems in Strategic Management. - Subotica : Faculty of Economics in Subotica University of Novi Sad, 2023. ISSN 2334-6191, 2023, vol. 28, no. 4, pp. 15-30.
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  5. CHANG, Yiming et al. Impact of Financial Market Development, Financial Crises and Deposit Insurance on Bank Risk. In Prague Economic Papers : a Bimonthly Journal of Economic Theory and Policy. - Prague : University of Economics, 2023. ISSN 2336-730X, 2023, vol. 32, no. 1, pp. 1-25.
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  6. KARASOVÁ, Alexandra - ŠIROKÁ, Tereza. Sustainability and Green Investments. In Sustainable Behaviour of Economics Entities : Proceedings of Scientific Papers. - Bratislava : Vydavateľstvo EKONÓM, 2023. ISBN 978-80-225-5072-7, pp. 71-80.
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  7. BHAMA, Vandana. Macroeconomic Variables, COVID-19 and the Indian Stock Market Performance. In Investment Management and Financial Innovations. - Sumy : LLC "Consulting Publishing Company "Business Perspectives", 2022. ISSN 1810-4967, 2022, vol. 19, no. 3, s. 28-37.
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  8. USMAN, Muhammad. Price Efficiency, Bubbles, Crashes and Crash Risk: Evidence from Chinese Stock Market. In Prague Economic Papers : a Bimonthly Journal of Economic Theory and Policy. - Prague : University of Economics, 2022. ISSN 1210-0455, 2022, vol. 31, no. 3-4, s. 236-258.
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  9. SHAIK, Muneer - PADMAKUMARI, Lakshmi. Value-at-risk (VAR) Estimation and Backtesting During COVID-19: Empirical Analysis Based on BRICS and US Stock Markets. In Investment Management and Financial Innovations. - Sumy : LLC "Consulting Publishing Company "Business Perspectives", 2022. ISSN 1810-4967, 2022, vol. 19, no. 1, s. 51-63.
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  10. SLEPECKÝ, Jaroslav et al. Net Investment Position and the Stock Market: The Case of Traditional and ESG Indices. In Investment Management and Financial Innovations. - Sumy : LLC "Consulting Publishing Company "Business Perspectives", 2022. ISSN 1810-4967, 2022, vol. 19, no. 2, s. 51-66.
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