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Conditional CAPM Using Expected Returns of Brazilian Sustainability Companies (Articles)
Elmo Tambosi Filho
Theoretical Economics Letters Vol.8 No.3,February 12, 2018
DOI: 10.4236/tel.2018.83026 25,630 Downloads 26,979 Views Citations This article belongs to the Special Issue on Corporate Finance
Financial Crisis in Retrospect: Bad Luck or Bad Policies? (Articles)
Gregory M. Dempster, Justin P. Isaacs
Theoretical Economics Letters Vol.4 No.1,February 18, 2014
DOI: 10.4236/tel.2014.41013 3,999 Downloads 5,438 Views Citations
Model of the International Financial Grid and the Panama Papers (Articles)
Frederick Betz
Theoretical Economics Letters Vol.7 No.4,June 13, 2017
DOI: 10.4236/tel.2017.74056 1,163 Downloads 1,552 Views Citations
Mathematical Modelling of Growth Dynamics of Infant Financial Markets (Articles)
Ronald Katende
Journal of Mathematical Finance Vol.10 No.3,August 11, 2020
DOI: 10.4236/jmf.2020.103023 159 Downloads 402 Views Citations
Predicting Financial Contagion and Crisis by Using Jones, Alexander Polynomial and Knot Theory (Articles)
Ognjen Vukovic
Journal of Applied Mathematics and Physics Vol.3 No.9,September 4, 2015
DOI: 10.4236/jamp.2015.39133 2,249 Downloads 3,289 Views Citations
An Artificial Neural Network Model to Forecast Exchange Rates (Articles)
Vincenzo Pacelli, Vitoantonio Bevilacqua, Michele Azzollini
Journal of Intelligent Learning Systems and Applications Vol.3 No.2,April 8, 2011
DOI: 10.4236/jilsa.2011.32008 12,060 Downloads 29,047 Views Citations This article belongs to the Special Issue on Intelligent Learning Systems in Banking and Finance
On Information Creation and Its Effect in Incomplete Financial Markets (Articles)
Mingren Chen
Technology and Investment Vol.3 No.3,August 31, 2012
DOI: 10.4236/ti.2012.33020 3,476 Downloads 5,264 Views Citations
Support Vector Machines Networks to Hybrid Neuro-Genetic SVMs in Portfolio Selection (Articles)
N. Loukeris, I. Eleftheriadis
Intelligent Information Management Vol.7 No.3,May 8, 2015
DOI: 10.4236/iim.2015.73011 4,591 Downloads 5,089 Views Citations
Foreign Direct Investment Spillovers and the Ghanaian Local Financial Environment (Articles)
Festus Ebo Turkson, Agyapomaa Gyeke-Dako, Emmanuel Bentum Amissah
Modern Economy Vol.6 No.10,October 27, 2015
DOI: 10.4236/me.2015.610104 2,416 Downloads 3,354 Views Citations
Production in General Equilibrium with Incomplete Financial Markets (Articles)
Pascal Stiefenhofer
Journal of Mathematical Finance Vol.6 No.2,May 13, 2016
DOI: 10.4236/jmf.2016.62025 2,332 Downloads 2,932 Views Citations
Co-Movement and Interaction Effects across the Monetary, Foreign Exchange and Stock Markets: Evidence from China (Articles)
Xuejin Zhao, Han Zhang
Journal of Financial Risk Management Vol.6 No.3,August 11, 2017
DOI: 10.4236/jfrm.2017.63018 681 Downloads 1,155 Views Citations
Dynamic Conditional Correlation between Electricity, Energy (Commodity) and Financial Markets during the Financial Crisis in Greece (Articles)
Panagiotis G. Papaioannou, George P. Papaioannou, Akylas Stratigakos, Christos Dikaiakos
Journal of Mathematical Finance Vol.7 No.4,November 29, 2017
DOI: 10.4236/jmf.2017.74055 822 Downloads 1,508 Views Citations
A Research on Eurozone Bond Market and Determinants of Sovereign Bond Yields (Articles)
Navjeet Gill
Journal of Financial Risk Management Vol.7 No.2,June 25, 2018
DOI: 10.4236/jfrm.2018.72012 1,145 Downloads 2,344 Views Citations
The Impact of the 2007 Global Financial Crisis on IPO Performance in Asian-Pacific Emerging Markets (Articles)
George Giannopoulos, Stavros Degiannakis, Andrew Holt, Teerapon Pongpoonsuksri
Theoretical Economics Letters Vol.8 No.11,August 29, 2018
DOI: 10.4236/tel.2018.811168 998 Downloads 1,676 Views Citations This article belongs to the Special Issue on Economic Efficiency
Opening Noise in the Indian Stock Market: Analysis at Individual Stock Level (Articles)
Faisal Nazir Zargar, Dilip Kumar
Theoretical Economics Letters Vol.9 No.1,January 10, 2019
DOI: 10.4236/tel.2019.91003 548 Downloads 1,170 Views Citations This article belongs to the Special Issue on Computational Economics and Econometrics
Financial Market Pricing of Earnings Quality: Evidence from a Multi-Factor Return Model (Articles)
Gregory M. Dempster, Nathaniel T. Oliver
Open Journal of Business and Management Vol.7 No.1,January 23, 2019
DOI: 10.4236/ojbm.2019.71021 697 Downloads 1,121 Views Citations
A Statistical Measure of Global Equity Market Risk (Articles)
Daniel Felix Ahelegbey
Applied Mathematics Vol.11 No.11,November 3, 2020
DOI: 10.4236/am.2020.1111070 107 Downloads 281 Views Citations
Institutional Economics, Risk Management, and Breakdown of Corporate Social Responsibility: Towards a New Architecture of Financial Markets (Articles)
Hans-Georg Petersen, Alexander Martin Wiegelmann
iBusiness Vol.5 No.3B,November 8, 2013
DOI: 10.4236/ib.2013.53B039 4,802 Downloads 6,369 Views Citations
Financial Time Series Modelling of Trends and Patterns in the Energy Markets (Articles)
Jane Aduda, Patrick Weke, Philip Ngare, Joseph Mwaniki
Journal of Mathematical Finance Vol.6 No.2,May 23, 2016
DOI: 10.4236/jmf.2016.62027 2,486 Downloads 3,461 Views Citations
Evaluating the Relationship between the Banking System Stability and the Internal Capital Adequacy Assessment Process: Evidence from the Egyptian Banking Sector (Articles)
Karim F. F. Mohamed
Journal of Financial Risk Management Vol.7 No.4,November 15, 2018
DOI: 10.4236/jfrm.2018.74020 1,064 Downloads 1,822 Views Citations