Public Directory of Journals and Books - Index PUBMS

2,007 Articles | 130 Issues | 6 Journals
Results: 9 (0.027 seconds)

Articles

# [1-9/9] Title Pages
1. The capital structure determinants of the Portuguese banking sector: A regional dynamics
Issue: Vol. 14, No 3, 2021
Journal: Journal of International Studies
Authors: Nuno Castro, Ilídio Lopes
Keywords: capital structure, financial crisis, Portuguese banks, regulatory capital, risk
JEL: G32, G38
124-137 (14)
2. The fragility in the land of refugees: Jordan and irrepressible phenomenon of refugee camps
Issue: Vol. 13, No 1, 2020
Journal: Journal of International Studies
Authors: Hind Alshoubaki, Lucio Zazzara
Keywords: fragility, refugee camp, resilience, risk
JEL: R23, R58
123-142 (20)
3. Tax rates effects on the risk level of listed Viet Nam real estate firms during global economic crisis 2007-2009
Issue: Vol 3 No 2 (2018)
Journal: Economics, Management and Sustainability
Authors: Dinh Tran Ngoc Huy
Keywords: beta, capital structure, economic crisis, risk, tax rate, real estate industry
JEL: G01, G10, G39
29-41 (13)
4. Factors of Efficiency of Open Investment Funds in 1997-2015
Issue: Vol. 9, No 1, 2016
Journal: Economics & Sociology
Authors: Grzegorz Mentel, Zuzana Horváthová
Keywords: investment funds, efficiency, investing, risk, European Union, uncertainty
JEL: G14, H21, E44
101-113 (13)
5. Qualifications of managers vs. effectiveness of investment funds in Poland
Issue: Vol. 9, No 2, 2016
Journal: Economics & Sociology
Authors: Grzegorz Mentel, Beata Szetela, Manuela Tvaronavičienė
Keywords: Investment Funds, efficiency, investing, risk, financial market
JEL: G14, H21, E44
126-136 (11)
6. Evaluation of the effectiveness of investment fund deposits in Poland in a time of crisis
Issue: Vol. 10, No 2, 2017
Journal: Journal of International Studies
Authors: Grzegorz Mentel, Jacek Brożyna, Beata Szetela
Keywords: investment funds, efficiency, investing, risk, financial market
46-60 (15)
7. Compatibility of market risk measures
Issue: Vol. 8, No 2, 2015
Journal: Journal of International Studies
Authors: Grzegorz Mentel, Jacek Brożyna
Keywords: value-at-risk, RiskGrade, modeling, risk, prediction
JEL: G32
52-62 (11)
8. THE MEASUREMENT OF CONCENTRATION RISK IN LOAN PORTFOLIOS
Issue: Vol. 5, No 1, 2012
Journal: Economics & Sociology
Authors: Rita Skridulyte, Eduardas Freitakas
Keywords: loan portfolio, concentration, risk, credit, economic activities, Lithuania
JEL: H81, G32, E51
51-61 (11)
9. Economic Study and Risk Estime of the Investment in the Human Capital
Issue: Vol. 7, No 2, 2014
Journal: Economics & Sociology
Authors: Oksana Zakharova, Oleg Kratt
Keywords: investment into human capital, planning, enterprise, objective, risk
JEL: D81, D83, I25, J24
94-108 (15)