This study examined the predictability of two main popular asset classes, stocks and bonds. The findings are useful for investors to make their investments wisely and timely
In this research Greek stock market is examined for first time and made a first attempt to approach ...
The research framework for this study is built upon the triple bottom line agenda. Specifically, the...
Mr. Weerasiri’s thesis is entitled: Dynamics of a sliding bubble in an isothermal viscous liqu...
Piketty’s (2014) book titled “Capital in the Twenty-First Century” sparked widespread interest in gl...
Thesis submitted in Fulfilment of the requirements for the Degree of Master of Management in Finance...
This dissertation consists of three essays on the dynamics of commodity futures market. While the fi...
A Research project submitted in partial fulfillment of the requirements for the degree of Bachelor o...
The study examines the effects of internal factors, made up of firm specific variables, and the exte...
vi, 36 leaves ; 29 cmFuller and Goldstein (2004) find that dividend payments are more valuable in d...
The aim of my dissertation is to provide insights into the rationale and impact of government invest...
The crises that affected Jordanian business environment were a wake-up call for its financial instit...
For a long time, incorporating risk management into the investment project plan has been a popular m...
Enterprise risk management or famously known as ERM is an integrated, enterprise-wide approach in as...
This thesis dwells upon topics in behavioural economics: information and fairness, with five researc...
Asset allocation is the decision on how much of the investment portfolio to place in each of the bro...
In this research Greek stock market is examined for first time and made a first attempt to approach ...
The research framework for this study is built upon the triple bottom line agenda. Specifically, the...
Mr. Weerasiri’s thesis is entitled: Dynamics of a sliding bubble in an isothermal viscous liqu...
Piketty’s (2014) book titled “Capital in the Twenty-First Century” sparked widespread interest in gl...
Thesis submitted in Fulfilment of the requirements for the Degree of Master of Management in Finance...
This dissertation consists of three essays on the dynamics of commodity futures market. While the fi...
A Research project submitted in partial fulfillment of the requirements for the degree of Bachelor o...
The study examines the effects of internal factors, made up of firm specific variables, and the exte...
vi, 36 leaves ; 29 cmFuller and Goldstein (2004) find that dividend payments are more valuable in d...
The aim of my dissertation is to provide insights into the rationale and impact of government invest...
The crises that affected Jordanian business environment were a wake-up call for its financial instit...
For a long time, incorporating risk management into the investment project plan has been a popular m...
Enterprise risk management or famously known as ERM is an integrated, enterprise-wide approach in as...
This thesis dwells upon topics in behavioural economics: information and fairness, with five researc...
Asset allocation is the decision on how much of the investment portfolio to place in each of the bro...
In this research Greek stock market is examined for first time and made a first attempt to approach ...
The research framework for this study is built upon the triple bottom line agenda. Specifically, the...
Mr. Weerasiri’s thesis is entitled: Dynamics of a sliding bubble in an isothermal viscous liqu...