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In recent years, there has been a swell of investment opportunities in contemporary asset classes that have gained considerable attention, including cryptocurrencies, hedge funds, and private equity. These alternative investments provide the opportunity to enhance the diversification of financial portfolios and harvest risk premiums that traditional assets like stocks and bonds fail to provide. The emergence of these new properties has created the need to further understand the mechanics, risks, and returns of alternative investments. Recent Advances and Applications in Alternative Investments is a pivotal reference source that provides vital research on the emergence and development of comp...
Since the waves of financial liberalization in the 1980s, emerging market economies have been accessible to foreign investors. Altogether, they contributed up to 43.8% of the global GDP in 2018, and many of them, such as China, India, Bangladesh, Philippines, Myanmar and Vietnam from 2010 to 2019, are among the fastest-growing economies in the world. Given the high economic growth, the assets issued by companies in emerging markets are viewed as a new set of investment opportunities for global investors and fund managers who seek to improve the risk-adjusted performance of their portfolios. In addition to their risky profile due to the lack of transparency as well as stable and matured insti...
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Scope: The classification of researchers and scientists in Greece in a unified list based on the citation impact and dissemination level of their scientific work according to Google Scholar database. Classification criteria: First criterion is h-index. In the case of equal h-index, the following scientometric indicators are used for the classification. The number of total citations, the i10-index, the total impact factor of scientist, the m-index or m-quotient of scientist. Information resource: The h-index, citations and i10-index derived from the public profiles of researchers in the Google Scholar database. In addition, the calculation of total impact factor and m-index of each researcher...
This book comprises 19 papers published in the Special Issue entitled “Corporate Finance”, focused on capital structure (Kedzior et al., 2020; Ntoung et al., 2020; Vintilă et al., 2019), dividend policy (Dragotă and Delcea, 2019; Pinto and Rastogi, 2019) and open-market share repurchase announcements (Ding et al., 2020), risk management (Chen et al., 2020; Nguyen Thanh, 2019; Štefko et al., 2020), financial reporting (Fossung et al., 2020), corporate brand and innovation (Barros et al., 2020; Błach et al., 2020), and corporate governance (Aluchna and Kuszewski, 2020; Dragotă et al.,2020; Gruszczyński, 2020; Kjærland et al., 2020; Koji et al., 2020; Lukason and Camacho-Miñano, 2020; Rashid Khan et al., 2020). It covers a broad range of companies worldwide (Cameroon, China, Estonia, India, Japan, Norway, Poland, Romania, Slovakia, Spain, United States, Vietnam), as well as various industries (heat supply, high-tech, manufacturing).
Der zwölfte Band der vorliegenden Schriftenreihe untersucht die Anpassung (Metamorphose) der Geldpolitik der EZB an die sich ändernden Herausforderungen und Risiken für die Preisniveaustabilität im Euroraum seit der Finanzmarktkrise von 2007. Der Schwerpunkt liegt auf der Analyse der diversen geldpolitischen Transmissionskanäle, wobei die Interaktion zwischen den eingesetzten geldpolitischen Maßnahmen eine besondere Stellung einnimmt. Dieser Band stellt auch ein künftiges geldpolitisches Toolkit bei gegebenen Verwerfungen für den Transmissionsmechanismus vor.
本書從基礎理論、商事組織法重點問題、資本市場建設、金融市場改革、新型市場發展和商事法治退出機制與配套制度等6個方面,對商事通則、資本經營與營利、商法的社會責任等基礎理論,對《公司法》與《證券法》聯動修改、公司監督機制、股東知情權訴訟研究等商事組織法重點問題,對金融功能異化的金融法矯治、信託財產權、信用卡套現等熱點問題進行了較為深入的分析和探討,為我國商事法治的完善和發展提出了筆者的有益建議。