Buch, Englisch, 251 Seiten, HC runder Rücken kaschiert, Format (B × H): 160 mm x 241 mm, Gewicht: 5266 g
Proceedings from the 3rd Wroclaw International Conference in Finance
Buch, Englisch, 251 Seiten, HC runder Rücken kaschiert, Format (B × H): 160 mm x 241 mm, Gewicht: 5266 g
Reihe: Springer Proceedings in Business and Economics
ISBN: 978-3-319-76227-2
Verlag: Springer International Publishing
Zielgruppe
Research
Autoren/Hrsg.
Fachgebiete
- Mathematik | Informatik Mathematik Mathematik Interdisziplinär Finanz- und Versicherungsmathematik
- Wirtschaftswissenschaften Finanzsektor & Finanzdienstleistungen Bankwirtschaft
- Wirtschaftswissenschaften Betriebswirtschaft Wirtschaftsmathematik und -statistik
- Wirtschaftswissenschaften Finanzsektor & Finanzdienstleistungen Unternehmensfinanzierung
- Wirtschaftswissenschaften Betriebswirtschaft Unternehmensfinanzen
- Wirtschaftswissenschaften Volkswirtschaftslehre Volkswirtschaftslehre Allgemein Makroökonomie
Weitere Infos & Material
Part I: Econometrics of Financial Markets
.- Information Asymmetry, Liquidity and the Dynamic Volume-Return Relation in Panel Data Analysis.- Density forecasts of emerging markets’ exchange rates using Monte Carlo simulation with regime switching.- Determination of the own funds requirements for the risk of binary options.-
Part II: Stock Market Investments
.- Relationships between returns in EU equity markets in 2005-2016: implications for portfolio risk diversification.- The relationships between beta coefficients in the classical and downside framework: Evidence from Warsaw Stock Exchange.- Intraday Trading Patterns on the Warsaw Stock Exchange.- Testing Stability of Correlations between Liquidity Proxies Derived from Intraday Data on the Warsaw Stock Exchange.- Validating Downside Accounting Beta: Evidence from the Polish Construction Industry.-
Part III: International Finance.-
Application of S-curve and modified S-curve in transition economies’ GDP forecasting. Visegrad Four countries case.- Financialization of commodity markets.-
Part IV: Banking
.- The production or intermediation approach? ? it matters.- Competitiveness and Concentration of the Banking Sector as a Measure of Banks’ Credit Ratings.- Different approaches to regulatory capital calculation for operational risk.- Assessment of Systemic Risk in the Polish Banking Industry.- Contemporary Challenges in the Asset Liability Management.-
Part V: Corporate Finance
.- Does it pay off to change the CEO? Changes in operating performance - preliminary results.- The capitalistic firm as a system that produces economic and social values.- Corporate cash holdings and tax changes. Evidence from some CEE countries.- Determinants of Capital Structure across European Countries.- Profitability of serial acquirers on the Polish capital market.- Failure Models for Insolvency and Bankruptcy.-
Part VI: Personal Finance
.- Parental Influence on Financial Knowledge of University Students.- Does Households’ Financial Well-being Determine the Levels of Their Sight Deposits under Turmoil?