Publikační činnost Katedry financí / Publications of Department of Finance (154): Nedávno přidané
Zobrazují se záznamy 41-50 z 159
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Monopolistic dynamics with endogenous product differentiation
(Mathematics. 2022, vol. 10, issue 3, art. no. 302.) -
Local environmental quality and heterogeneity in an OLG agent-based model with spatial externalities
(Journal of Economic Interaction and Coordination. 2022, vol. 17, issue 1, p. 287-317.) -
Portfolio selection using multivariate semiparametric estimators and a copula PCA-based approach
(Computational Economics. 2021.) -
Second-order stochastic comparisons of order statistics
(Statistics. 2021, vol. 55, issue 3, p. 561-579.) -
Option valuation under the VG process by a DG method
(Applications of Mathematics. 2021, vol. 66, issue 6, special issue, p. 857-886.) -
COVID-19 epidemic and mitigation policies: Positive and normative analyses in a neoclassical growth model
(Journal of Public Economic Theory. 2021.) -
Should I stay or should I go? Carbon leakage and ETS in an evolutionary model
(Energy Economics. 2021, vol. 103, art. no. 105561.) -
Network tail risk estimation in the European banking system
(Journal of Economic Dynamics and Control. 2021, vol. 127, art. no. 104125.) -
How do limit orders affect the disposition effect on highly liquid markets – Experimental finance evidence
(Journal of Behavioral Finance. 2021.) -
Analysing decarbonizing strategies in the European power system applying stochastic dominance constraints
(Energy Economics. 2021, vol. 101, art. no. 105438.)