Keywords: G11; G15; G11; D5; Sukuk; Islamic finance; Dynamic correlations; Diversification; Corporate bonds; Multivariate GARCH;
مقالات ISI ترجمه شده G11
Keywords: G11;
Keywords: G11; G11; G12; G14; G15; C32Islamic finance; Robust causality tests; Financial and economic shocks
Keywords: G11; G110; G10; G11; G14; G17; Shortage function; Efficient frontier; Shortselling; Portfolio management; Riskless asset;
Keywords: G11; F21; F34; G11; G24; H63; Sovereign credit rating; Private investment; Irreversible investment;
Keywords: G11; Precautionary saving; Entrepreneurial risk; Uncertainty; InnovationD21; D92; G11
Keywords: G11; G11; G12; D81; E44Investor mood; Asset pricing; Behavioral finance; Time preference; Risk attitude
Keywords: G11; G11; G23; Emerging equity markets; Asset allocation; Dynamic investments;
مقالات ISI G11 (ترجمه نشده)
مقالات زیر هنوز به فارسی ترجمه نشده اند.
در صورتی که به ترجمه آماده هر یک از مقالات زیر نیاز داشته باشید، می توانید سفارش دهید تا مترجمان با تجربه این مجموعه در اسرع وقت آن را برای شما ترجمه نمایند.
در صورتی که به ترجمه آماده هر یک از مقالات زیر نیاز داشته باشید، می توانید سفارش دهید تا مترجمان با تجربه این مجموعه در اسرع وقت آن را برای شما ترجمه نمایند.
Keywords: G11; C22; G01; G11; G15; Crypto markets; Trend trading; Persistence; MODWT; Investment scales;
Keywords: G11; C32; C5; F32; F42; G11; Portfolio capital flows; Global VAR (GVAR); Capital controls; Emerging markets;
Keywords: G11; C61; D52; G11; G12; Discount rate; Regime switching; Equilibrium;
Keywords: G11; G1; G11; G2; E21; D8; Commission selling; Financial advice; Agency problem; Earmarked financial product; Savings and loan contracts;
Keywords: G11; Prospect theory; Disposition effect; Opposite disposition effect; Liquidation decisions; G11; G15; G24;
Keywords: G11; G11; G15; International portfolio diversification; Global financial crisis; Nigerian stock market; Developed stock markets;
Keywords: G11; D15; D31; E21; E44; G11; G12; G21; R21; R31; House prices; Mortgage debt; Credit constraints; Life cycle models;
Keywords: G11; G11; G15; G17; Small caps; Technical analysis; Brazilian stock market; Moving averages;
Keywords: G11; Stock market indices; Market portfolio; CAPM; Carhart; Tracking error; Hit ratio; Cross-sectional volatility; Market coverage; G11; G12; G15;
Keywords: G11; Repurchase effect; Gender; Regret; Disappointment; G02; G11;
Keywords: G11; One-fund separation; Incomplete markets; Heterogeneous beliefs; Risk aversion; D52; D53; G11; G12;
Keywords: G11; Metals; Currency; Carry trade; Hedge; Safe haven; F31; G10; G11;
Keywords: G11; C43; D14; D81; D83; G11; Informativeness; Information structures; Entropy; Decision under uncertainty; Investment; Blackwell ordering;
Keywords: G11; Asymmetric causality; House prices; Stock prices; State level data; R12; G11;
Keywords: G11; A13; D53; G11; Q41; Fossil Fuel Divestment; Socially Responsible Investing; Portfolio Performance; Risk-Adjusted Returns; Market Capitalization; GARCH;
Keywords: G11; Real options; Foreign direct investment; Subsidy; Tax reduction; F21; F68; G11; G13;
Keywords: G11; Random cash flow; Value measure; Utility indifference pricing; Normal mixture; G11; G32; C13; C46; C58;
Keywords: G11; G11; G12; Risk price; Traded factors; Anomalies;
Keywords: G11; Sukuk; Buy and hold effect; Investment strategy; Rebalancing; Secondary market; C01; C49; C52; D49; G11; G15;
Keywords: G11; Minimum variance portfolio; Market portfolio; Bet against beta; Pricing anomaly; G11; C14;
Keywords: G11; Option pricing; Risk neutral moments; Risk neutral density; Analytical solutions; C14; G11; G12;
Keywords: G11; G11; G12; G15; Loss aversion; Cultural dimensions; Reference-dependent utility; Pension funds;
Keywords: G11; Financial contagion; Markov switching; Risk transmission; Volatility spillovers; G11; G17; C32; C34; C58;
Keywords: G11; G11; G12; G14; G15; Momentum; Factor premium; Asset pricing; Value; Size; Quality; Low-volatility; Style momentum; Performance persistence; International equity markets; Market efficiency; Return predictability;
Keywords: G11; G11; G15; Portfolio choice; International financial markets;
Keywords: G11; Range disclosure; Estimation uncertainty; Audit report; Emphasis of matter; Credibility; C91; G11; G18; M42;
Keywords: G11; O16; O30; O31; O34; G11; G12; Science; Innovation; Stock returns; Firm value; Profitability; Limited attention;
Keywords: G11; G11; G23; Hedge fund; Manager's effort; Alpha; Liquidation risk; High-water mark;
Keywords: G11; G11; G15; F31; Currency style investing; Optimal combination; Currency predictability;
Keywords: G11; E44; G11; O11; O16; Financial development; Incomplete markets; Private equity; Public equity;
Keywords: G11; C32; C53; Q43; Q47; G11; G17; Oil price predictability; Iterated combination; Out-of-sample forecasts; Asset allocation;
Keywords: G11; G10; G11; G12; Lottery preferences; Return anomalies; Investor sentiment; Limits to arbitrage;
Keywords: G11; C32; C58; G18; G11; Volatility spillovers; Directional connectedness; Oil firms; VAR; Risk network;
Keywords: G11; E58; G1; G11; G12; Gold price; Hedging; Central banks; Bank of England independence; Quantitative easing;
Keywords: G11; G01; G11; G21; Information contagion; Counterparty risk; Common exposure; Portfolio choice; Interbank market;
Keywords: G11; C61; G11; G23; H55; Social security; Unfunded and funded pension systems; Optimal portfolio; Diversification; Correlation between stocks and wages; Risk price;
Keywords: G11; G15; G11; C12; International financial markets; Portfolio choice; Estimation;
Keywords: G11; G11; G14; Liquidity; Politics; Information asymmetry; Economic policy uncertainty;
Keywords: G11; C16; C53; C61; G11; Dividend growth; Equity premium; Predictability;
Keywords: G11; A20; D14; I20; G11; Survey data; Financial literacy; Gender gaps; Decomposition analysis;
Keywords: G11; G11; G12; G15; Equity home bias; Equity investment; Optimal investment weights; Bayes-Stein shrinkage; GMM estimation;