EXPLORING THE PERSPECTIVES OF CORPORATE GOVERNANCE AND THEORIES ON SUSTAINABILITY RISK MANAGEMENT (SRM) Journal title: Asian Economic and Financial Review Authors: Nazliatul Aniza Abdul Aziz*| Othman Yeop Abdullah Graduate School of Business, Universiti Utara Mala... Subject(s): Economics, Finance and Financial Services
Limitations on the stocks portfolio optimization on the Banja Luka Stock Exchange Journal title: Acta Economica Authors: Горан Радивојац, Милош Грујић Subject(s): Economics
Use of the Markowitz Portfolio Optimization Model: An Application on the Individual Retirement Investment Funds Journal title: Muhasebe ve Finansman Dergisi Authors: Hasan Uygurtürk, Turhan Korkmaz Subject(s):
Portföy Optimizasyonunda Markowitz Modelinin Kullanımı: Bireysel Emeklilik Yatırım Fonları Üzerine Bir Uygulama Journal title: Muhasebe ve Finansman Dergisi Authors: Hasan Uygurtürk, Turhan Korkmaz Subject(s):
EQUITY RISK OF UKRAINIAN BANKS IN THE CONTEXT OF GIPS STANDARDS Journal title: Зовнішня торгівля: економіка, фінанси, право Authors: Liudmyla ZHURAKHOVSKA Subject(s):
DOMESTIC VS INTERNATIONAL RISK DIVERSIFICATION POSSIBILITIES IN SOUTHEASTERN EUROPEAN STOCK MARKETS Journal title: UTMS Journal of Economics Authors: Sinisa Bogdan, Suzana Baresa, Zoran Ivanovic Subject(s):
Enterprise risk management and value creation: A literature review Journal title: Revue du contrôle, de la comptabilité et de l’audit Authors: El mehdi KERRAOUS Subject(s):
A Studyof Integrated Cryptocurrencymodel for Initial Coin Offerings: Based OnModern Portfolio Theory Journal title: International Journal of engineering Research and Applications Authors: Jaewon Choi Subject(s):
POST-MODERN PORTFOLIO THEORY AS A NEW STAGE OF PORTFOLIO PARADIGM OF INTERNATIONAL INVESTING DEVELOPMENT Journal title: Проблеми системного підходу в економіці Authors: P.V. Dziuba Subject(s):