Results 181 to 190 of about 4,439 (210)
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Stochastic models with random parameters for financial markets

2015
The aim of this thesis is a development of a new class of financial models with random parameters, which are computationally efficient and have the same level of performance as existing ones. In particular, this research is threefold. I have studied the evolution of storable commodity and commodity futures prices in time using a new random parameter ...
openaire   +1 more source

Navigating financial toxicity in patients with cancer: A multidisciplinary management approach

Ca-A Cancer Journal for Clinicians, 2022
Maria Pisu   +2 more
exaly  

The Magnitude of Loss Aversion Parameters in Financial Markets

SSRN Electronic Journal, 2003
Soosung Hwang, Stephen E. Satchell
openaire   +1 more source

Time to add screening for financial hardship as a quality measure?

Ca-A Cancer Journal for Clinicians, 2021
Ya-Chen Tina Shih   +2 more
exaly  

MANAGING THE PARAMETERS OF THE COMPANY'S FINANCIAL STRATEGY: THE PRACTICAL ASPECT

Bulletin of the Angarsk State Technical University
Approaches to managing the parameters of strategic business development have been im-proved: an analysis of the sustainable business growth model has been implemented and tested in Excel format and the expediency of supplementing the analysis with a check of the golden rule of economics has been noted, which helps to increase the level of validity of ...
openaire   +1 more source

Digital financial literacy and financial well-being

Finance Research Letters, 2023
Tae-Young Pak   +2 more
exaly  

Financial education affects financial knowledge and downstream behaviors

Journal of Financial Economics, 2022
Lukas Menkhoff   +2 more
exaly  

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