Results 11 to 20 of about 127,412 (262)
This paper is the first empirical study of the economic consequences of the adoption of the employee director system in China from the perspective of the investment efficiency of enterprises, that is, based on empirical study of China’s capital market in
Bingyi Huang, Yuting Huang
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Web 3.0 is the basis on which the proposed metaverse, a seamless virtual world enabled by computers and interconnected devices, hopes to interact with its users, but beyond the high-level project overview of what Web 3.0 applications try to achieve, the ...
Vlad Bucur, Liviu-Cristian Miclea
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Eliciting Model Structures for Multivariate Probabilistic Risk Analysis
Notionally objective probabilistic risk models, built around ideas of cause and effect, are used to predict impacts and evaluate trade-offs. In this paper, we focus on the use of expert judgement to fill gaps left by insufficient data and understanding ...
Mark Burgman +2 more
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The Cross-correlation Structure of Tehran Stock Exchange Indexes by Multifractal Detrended Fluctuation Analysis [PDF]
One of the latest approaches for analyzing the coupled time series is MF-DXA. This technique has been used in many disciplines such as finance. In this paper, we have analyzed Tehran Stock Exchange indexes by MF-DXA and have found a scaling behavior ...
Reza Tehrani +2 more
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In this work, the effect of the sintering temperature on the microstructure and mechanical properties of Nb-V added powder metallurgy (PM) steels was investigated.
Mehmet Akif Erden
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INTERNAL GOVERNANCE AND ROLE OF INTERNAL AUDIT IN FINANCIAL INSTITUTIONS. CASE STUDY: RISK BASED PLANNING [PDF]
The global financial crisis from 2008 was considered a trigger to reshape the financial systems and to enhance the risk management practices. Considering the developments and new guidelines that are now used it can be observed a “positive” effect of the ...
Andrei Florin
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An analysis of the relation between return and beta for portfolios of Turkish equities
The present study investigates the possible existence of a systematic relation between beta and excess-return for portfolios of Turkish equities. In the process, no systematic relation is found between beta and realized portfolio excess-return, in an ...
Salvatore J. Terregrossa, Veysel Eraslan
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Tick Size and Market Quality Using an Agent-Based Multiple-Order-Book Model
This study investigated the dynamics between tick size and market quality using an agent-based multiple-order-book stock-market model. Given the multiple-order-book setting, we integrated the model with small-, medium-, and large-cap stocks and conducted
Ruwei Zhao, Yian Cui, Xuenu Liu
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The aim of this study is to examine the existence of causality between corporate governance practice and performance of commercial banks in Indonesia.
Cynthia A. Utama, Haidir Musa
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To respond to the unintended consequences of prevention measures to reduce COVID-1911 List of Abbreviations: COVID-19: Coronavirus Disease 2019; ICM: International Care Ministries; LGU: Local Government Unit; NGO: Non-Governmental Organization; REDI ...
Shoshannah Joanna Speers +7 more
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