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OALib Journal期刊
ISSN: 2333-9721
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Financial Assets and Investing
ISSN Print: 1804-5081
ISSN Online:
主页:
http://fai.econ.muni.cz/
分享:
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Determinants which Affect Liquid Asset Ratio of Czech and Slovak Commercial Banks
Pavla Vodová
Risk Premia in the Czech Money Market
Martin Pohl
EBITDA/EBIT and cash flow based ICRs: A comparative approach in the agro-food system in Italy
Mattia Iotti
,
Giuseppe Bonazzi
Book Review - Capital Structure Policy of Stock-Listed German Companies
Svend Reuse
Statistical arbitrage and FX exposure with South American ADRs listed on the NYSE
Shadie Broumandi
,
Tobias Reuber
Sainsbury’s vs. Morrisons - An Investment Decision Based on Financial Analysis
Zuzana Kalmárová
Optimal Portfolio Selection in Ex Ante Stock Price Bubble and Furthermore Bubble Burst Scenario from Dhaka Stock Exchange with Relevance to Sharpe’s Single Index Model
Javed Bin Kamal
"What If" Analyses in Investment Decision Making
Katarína Belanová
Selected Aspects of the Copenhagen Economics Study on Reduced VAT Rates in the Current Conditions of the Moravian-Silesian Region
Kate?ina Randová
,
Michal Krajňák
Competition and Risk-taking in Banking Industry
Rostislav Staněk
Corporate governance in banks: Problems and remedies
Monika Marcinkowska
Logistic controlling as a possible way to prosperity in the Czech Republic
Liběna Kantnerová
Book Review - The Management of Credit Financing and Credit Trades
Franti?ek Kalouda
The Impact of Financial Crisis on the Predictability of the Stock Markets of PIGS Countries – Comparative Study of Prediction Accuracy of Technical Analysis and Neural Networks
Katarína Hi?ovská
,
Martina Lu?kani?ová
,
Ján ?terba
Methods of Bank Valuation: A Critical Overview
Oleg Deev
Development of Investment Activities of Commercial Insurance Companies in Slovak, Czech and Austrian Insurance Markets in 2004-2009
Marek Mehe?
,
Zuzana Bri?ová
Expert`s Opinion - Short Introduction of Short Selling
Dagmar Linnertová
Book Review - Treasury Management in Medium-Sized Banks
Eric Frère
Book Review - Correlations in Extreme Situations – an Empirical Analysis in the German Financial Market with the Special Focus on the Irrationality of Markets
Eric Frère
Basel II Approaches for the Calculation of the Regulatory Capital for Operational Risk
Ivana Valová
Corporate Evaluation in Banks - Development of a New Evaluation Model with the Special Focus on the Separation of the Value of Maturity Transformation
Svend Reuse
Basel III Global Liquidity Standards: Critical Discussion and Impact onto the European Banking Sector
Veronika Bu?ková
,
Svend Reuse
Expert`s Opinion - The Use of Internal Financial Reporting Standard for Small and Medium Sized Entities
Eva Hyblová
Comparing Variance/Covariance and Historical Simulation in the Context of the Financial Crisis – Do Extreme Movements Have an Influence onto Portfolio Selection?
Svend Reuse
Book Review - The Development of the Insurance Market in the Countries of the Visegrád Four in 1995–2007
Franti?ek ?ezá?
Book Review - Credit Risk Management: Basic Concepts: Financial Risk Components, Rating Analysis, Models, Economic and Regulatory Capital
Ivana Valová
Analysis of Potential Impacts of Inclusion of Locally Supplied Services into Reduced VAT Rate on the Suppliers of these Services
Kate?ina Randová
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