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1
Book Review - Correlations in Extreme Situations – an Empirical Analysis in the German Financial Market with the Special Focus on the Irrationality of Markets
Published 2011-05-01“…Financial Assets and Investing…”
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2
Development of Investment Activities of Commercial Insurance Companies in Slovak, Czech and Austrian Insurance Markets in 2004-2009
Published 2011-05-01“…Financial Assets and Investing…”
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3
The Relationship between Intellectual Capital and Income Smoothing and Stock Returns (Case in Medical Companies)
Published 2013-05-01“…Financial Assets and Investing…”
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4
Basel III Global Liquidity Standards: Critical Discussion and Impact onto the European Banking Sector
Published 2011-09-01“…Financial Assets and Investing…”
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5
Book Review - Capital Structure Policy of Stock-Listed German Companies
Published 2012-09-01“…Financial Assets and Investing…”
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6
Analysis of Potential Impacts of Inclusion of Locally Supplied Services into Reduced VAT Rate on the Suppliers of these Services
Published 2010-09-01“…Financial Assets and Investing…”
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7
EBITDA/EBIT and cash flow based ICRs: A comparative approach in the agro-food system in Italy
Published 2012-05-01“…Financial Assets and Investing…”
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8
Comparing Variance/Covariance and Historical Simulation in the Context of the Financial Crisis – Do Extreme Movements Have an Influence onto Portfolio Selection?
Published 2010-09-01“…Financial Assets and Investing…”
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9
Selected Aspects of the Copenhagen Economics Study on Reduced VAT Rates in the Current Conditions of the Moravian-Silesian Region
Published 2012-01-01“…Financial Assets and Investing…”
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10
The Impact of Financial Crisis on the Predictability of the Stock Markets of PIGS Countries – Comparative Study of Prediction Accuracy of Technical Analysis and Neural Networks
Published 2011-09-01“…Financial Assets and Investing…”
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11
"What If" Analyses in Investment Decision Making
Published 2012-09-01“…Financial Assets and Investing…”
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12
Optimal Portfolio Selection in Ex Ante Stock Price Bubble and Furthermore Bubble Burst Scenario from Dhaka Stock Exchange with Relevance to Sharpe’s Single Index Model
Published 2012-09-01“…Financial Assets and Investing…”
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13
Corporate governance in banks: Problems and remedies
Published 2012-05-01“…Financial Assets and Investing…”
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14
Expert`s Opinion - Short Introduction of Short Selling
Published 2011-05-01“…Financial Assets and Investing…”
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15
Competition and Risk-taking in Banking Industry
Published 2012-01-01“…Financial Assets and Investing…”
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16
Determinants which Affect Liquid Asset Ratio of Czech and Slovak Commercial Banks
Published 2013-01-01“…Financial Assets and Investing…”
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17
Decoupling Hypothesis and the Financial Crisis
Published 2013-09-01“…Financial Assets and Investing…”
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18
Logistic controlling as a possible way to prosperity in the Czech Republic
Published 2012-05-01“…Financial Assets and Investing…”
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19
Sainsbury’s vs. Morrisons - An Investment Decision Based on Financial Analysis
Published 2012-09-01“…Financial Assets and Investing…”
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20
Book Review - The Development of the Insurance Market in the Countries of the Visegrád Four in 1995–2007
Published 2010-09-01“…Financial Assets and Investing…”
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