Publikační činnost Katedry financí / Publications of Department of Finance (154): Nedávno přidané
Zobrazují se záznamy 31-40 z 159
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Experts vs. policymakers in the COVID-19 policy response
(Journal of Economic Behavior & Organization. 2022, vol. 201, p. 22-39.) -
Endogenous preferences in a dynamic Cournot duopoly
(Chaos, Solitons & Fractals. 2022, vol. 161, art. no. 112303.) -
Global warming and (insured) losses from natural catastrophes
(Journal of Environmental Protection and Ecology. 2021, vol. 22, issue 5, p. 1888-1902.) -
Causes of fragile stock market stability
(Journal of Economic Behavior & Organization. 2022, vol. 200, p. 483-498.) -
Portfolio optimization with asset preselection using data envelopment analysis
(Central European Journal Of Operations Research. 2022.) -
Generalised soft multi-mode real options model (fuzzy-stochastic approach)
(Expert Systems with Applications. 2022, vol. 192, art. no. 116388.) -
Quarterly sales analysis using linguistic fuzzy logic with weather data
(Expert Systems with Applications. 2022, vol. 203, art. no. 117345.) -
Comparison of Lp-quantiles and related skewness measures
(Statistics & Probability Letters. 2022, vol. 183, art. no. 109339.) -
Testing convexity of the generalised hazard function
(Statistical Papers. 2022.) -
Soft bond game options valuation in discrete time using a fuzzy-stochastic approach
(International Journal of Fuzzy Systems. 2022.)