Public Directory of Journals and Books - Index PUBMS

2,007 Articles | 130 Issues | 6 Journals
Results: 6 (0.032 seconds)


# [1-6/6] Title Pages
1. Do Moody's and S&P firm's ratings differ?
Issue: Vol. 13, No 4, 2020
Journal: Economics & Sociology
Authors: Lorena Caridad, Julia Núñez-Tabales, Petr Seda, Orlando Arencibia
Keywords: long-term ratings, conflict of interest, rating inflation, credit rating agencies, ratings evolution
JEL: G24, G17, F65, D53
173-186 (14)
2. Better results of artificial neural networks in predicting ČEZ share prices
Issue: Vol. 13, No 2, 2020
Journal: Journal of International Studies
Authors: Petr Šuleř, Veronika Machová
Keywords: time series, prediction, share prices, artificial neural networks, exponential smoothing, Prague Stock Exchange
JEL: C22, C45, D53
259-278 (20)
3. Stability analysis of the banking system: a complex systems approach
Issue: Vol. 10, No 3, 2017
Journal: Journal of International Studies
Authors: Alan Karaev, Marina Melnichuk, Timur Guev, Grzegorz Mentel
Keywords: banking and finance, financial stability, complex systems, financial contagion, network approach
JEL: D85, D47, D53
273-284 (12)
Issue: Vol. 4, No 1, 2011
Journal: Economics & Sociology
Authors: Neringa Barakauskaitė-Jakubauskienė
Keywords: financial markets, economic/business cycles, business fluctuations, logistic capital, bubble theory
JEL: D53, E32
33-45 (13)
5. Risk Tolerance Analysis: Romanian Case Before and During Financial Turmoil
Issue: Vol. 5, No 2a, 2012
Journal: Economics & Sociology
Authors: Paun Cristian
Keywords: risk aversion, behavioural finance, optimal portfolio investments, capital market, investment criteria
JEL: A13, G12, D53, D81, G01
11-23 (13)
6. Open-Ended Funds in Romania. Their Performance in an Economically Difficult Environment
Issue: Vol. 5, No 2a, 2012
Journal: Economics & Sociology
Authors: Tudorache Florentin Gabriel
Keywords: open ended funds, Romania, investment funds’ performance
JEL: G23, G11, D53, E22
57-70 (14)