Results 251 to 260 of about 2,565,094 (291)
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Practice Parameters and Financial Factors Impacting Developmental-Behavioral Pediatrics
Journal of Developmental & Behavioral Pediatrics, 2010Little has been published about the professional activities of developmental-behavioral (DB) pediatricians. To better understand the settings in which DB pediatricians work, allocation of their professional time, and how financial considerations impact their practice, the Society for Developmental and Behavioral Pediatrics surveyed its membership.An ...
Adair, Robin +3 more
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Some Behavioral Parameters of Financial Analysis.
The Accounting Review, 1972Abstract The article informs that behavioral research in accounting simultaneously must consist of theory-building and methodology refining. The problems of identifying significant variables and generalizing from experimental findings are inextricably linked.
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Financial, Operating and Security Market Parameters of Repurchasing
Financial Analysts Journal, 1969(1969). Financial, Operating and Security Market Parameters of Repurchasing. Financial Analysts Journal: Vol. 25, No. 4, pp. 123-128.
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Recovering Drifts and Preference Parameters from Financial Derivatives
SSRN Electronic Journal, 2013Although elegant and stunning from a theoretical perspective, the Recovery Theorem of Ross (2013) imposes economically implausible bounding restrictions on state vector dynamics. In this paper, we first explain why bounding permits recovery: although derivative prices are solutions to partial differential equations expressed in terms of risk-neutral ...
Sergey Dubynskiy, Robert S. Goldstein
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Hopf bifurcation and chaos of financial system on condition of specific combination of parameters*
Journal of Systems Science and Complexity, 2008zbMATH Open Web Interface contents unavailable due to conflicting licenses.
Junhai Ma, Yaqiang Cui, Lixia Liu
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Journal of Advances in Management Research
Purpose This study aims to explore the non-financial parameters (NFPs) of strategic investment decision-making (SIDM) and their impacts on corporate financial performance (CFP). Design/methodology/approach In this quantitative study ...
Sehar Imran +2 more
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Purpose This study aims to explore the non-financial parameters (NFPs) of strategic investment decision-making (SIDM) and their impacts on corporate financial performance (CFP). Design/methodology/approach In this quantitative study ...
Sehar Imran +2 more
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Parameter Estimation Methods for Bivariate Copula in Financial Application
Semarak International Journal in Modern Accounting and FinanceIn the field of finance, understanding the dependencies between financial variables is crucial for effective risk management and decision-making. Copulas are powerful tools used to model these dependencies, enabling more accurate financial predictions and assessments.
Nur Shafiqah Najwa Mohd Fairuz +3 more
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Stochastic models with random parameters for financial markets
2015The 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 ...
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Interest Rate as a Key Parameter in Decentralized Financial Systems
Economic Problems and Legal PracticeDecentralized lending is one of the key services in the field of decentralized finance. Due to its specifics, DeFi attracts participants all over the world, allowing you to fully take advantage of blockchain technologies. This article presents arguments emphasizing the key importance of interest rates in shaping the behavior of participants, allocating
Nikita A. Kolobanov, Ilona V. Tregub
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Parameter Uncertainty, Financial Turbulence and Aggregate Stock Returns
SSRN Electronic Journal, 2017In this paper, we develop a novel, intuitive and objective measure of time-varying parameter uncertainty (PU) based on a simple statistical test. Investors who are averse to parameter uncertainty will react to elevated levels of PU by withdrawing from the market and causing prices to fall, a behavior that is well described by the model of portfolio ...
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