Publikační činnost Katedry financí / Publications of Department of Finance (154): Nedávno přidané
Zobrazují se záznamy 21-30 z 159
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Mean–variance vs trend–risk portfolio selection
(Review of Managerial Science. 2023.) -
The moderating role of a corporate life cycle with the impact of economic value-added on corporate social responsibility: Evidence from China's listed companies
(Emerging Markets Review. 2023, vol. 55, art. no. 101021.) -
Distribution prediction of decomposed relative EVA measure with Levy-driven mean-reversion processes: The case of an automotive sector of a small open economy
(Forecasting. 2023, vol. 5, issue 2, p. 453-471.) -
Transform orders and stochastic monotonicityof statistical functionals
(Scandinavian Journal of Statistics. 2023, vol. 50, issue 3, p. 1183-1200.) -
Financial contagion in banking networks with community structure
(Communications in Nonlinear Science and Numerical Simulation. 2023, vol. 117, art. no. 106924.) -
Environmental sustainability, nonlinear dynamics and chaos reloaded: 0 matters!
(Communications in Nonlinear Science and Numerical Simulation. 2023, vol. 117, art. no. 106908.) -
Catastrophic and systemic risk in the non-life insurance sector: A micro-structural contagion approach
(Finance Research Letters. 2022, vol. 47, art. no. 102718.) -
Currency manipulation and currency wars: Analyzing the dynamics of competitive central bank interventions
(Journal of Economic Dynamics and Control. 2022, vol. 145, art. no. 104545.) -
Properties of increasing odds rate distributions with a statistical application
(Journal of Statistical Planning and Inference. 2022, vol. 221, p. 313-325.) -
Virtual reality retooling humanities courses: Finance and marketing experience at a Czech university
(Applied Sciences. 2022, vol. 12, issue 19, art. no. 10170.)