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Financial Markets, Institutions and Risks
Financial Markets, Institutions and Risks
ARMG Publishing in Sumy State University
Подтвержден адрес электронной почты в домене ssu.edu.ua - Главная страница
Название
Процитировано
Процитировано
Год
Assessment of green investment impact on the energy efficiency gap of the national economy
V Pavlyk
Financial Markets, Institutions and Risks (FMIR) 4 (1), 117-123, 2020
972020
The risks of financial institutions
M Carey, RM Stulz
National Bureau of Economic Research, 2005
752005
Public Spending and Economic Growth in Developing Countries: a Synthesis
KB Kouassi
Financial Markets, Institutions and Risks (FMIR) 2 (2), 22-30, 2018
652018
Financial Crises and Nexus Between Economic Growth and Foreign Direct Investment
D Bhowmik
Financial Markets, Institutions and Risks (FMIR) 2 (1), 58-74, 2018
552018
Digital financial decision with a view of neuroplasticity/neurofinancy/neural networks
A Njegovanović
Sumy State University, 2018
472018
The role of tax competition between the countries of the world and the features of determining the main tax competitors of Ukraine among the European countries
Anton Boiko, Iaryna Samusevych
Financial Markets, Institutions and Risks 1 (1), 72-79, 2017
472017
Understanding the Nature of Accounts Using Comprehensive Tools to Understand Financial Statements
A Faccia, D Mosco
Financial Markets, Institutions and Risks 3 (3), 18-27, 2019
462019
Shadow Investment Activity as a Factor of Macroeconomic Instability
MG Zolkover Andrii
Financial Markets, Institutions and Risks (FMIR) 4 (4), 83-90, 2020
44*2020
Carbon financial markets underlying climate risk management, pricing and forecasting: Fundamental analysis
BB Adil El Amri, Rachid Boutti, Salah Oulfarsi, Florence Rodhain
Financial Markets, Institutions and Risks (FMIR) 4 (4), 31-44, 2020
43*2020
Impact of the Foreign Direct Investment on Economic growth in the Republic of Benin
DTA Marcel
Financial Markets, Institutions and Risks (FMIR) 3 (2), 69-78, 2019
422019
Fiscal Decentralisation as a Factor of Macroeconomic Stability of the Country
M Palienko, L Oleksii, P Denysenko
Financial Markets, Institutions and Risks (FMIR) 1 (4), 74-86, 2017
422017
Capital markets: institutions, instruments, and risk management
FJ Fabozzi
MIT Press, 2015
422015
Financial Policy of Innovation Development Providing: The Impact Formalization
A Samoilikova
Financial Markets, Institutions and Risks (FMIR) 4 (2), 5-15, 2020
402020
The Global Green Bond Market in the Face of the COVID-19 Pandemic
KD Greta Keliuotytė-Staniulėnienė
Financial Markets, Institutions and Risks (FMIR) 5 (1), 50-60, 2021
37*2021
The pecking order theory and start-up financing of small and medium enterprises: Insight into available literature in the Libyan context
NSM Ahmad, МRAA Atniesha
ГГТУ им. ПО Сухого, 2019
372019
Study of Linkages Between Outward Foreign Direct Investment (OFDI) and Domestic Economic Growth: an Indian Perspective
A Agnihotri, S Arora
Sumy State University, 2019
362019
Trust in the banking sector: EU experience and evidence from Ukraine
T Savchenko, L Kovács
Financial Markets, Institutions and Risks 1 (1), 29-42, 2017
362017
Impact of Accounting Software among SMEs Accountants in Oman
MM Thottoli
Financial Markets, Institutions and Risks (FMIR) 4 (2), 25-33, 2020
352020
Does the efficiency of working capital management and environmental, social, and governance performance affect a firm’s value? Evidence from the United States
AM Habib
Financial Markets, Institutions and Risks (FMIR) 6 (3), 18-25, 2022
342022
Alternative Finance Business-Models: Online Platforms
Pavlo Rubanov, Alfredo Marcantonio
Financial Markets, Institutions and Risks 1 (3), 92-98, 2017
34*2017
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