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THE GREGARIOUS BEHAVIOR OF INVESTORS FROM BALTIC STOCK MARKETS

THE GREGARIOUS BEHAVIOR OF INVESTORS FROM BALTIC STOCK MARKETS

... Abstract: The main objective of this research is to investigate market participants’ gregarious behaviour in Baltic stock markets, namely Lithuania, Latvia and Estonia during ... See full document

7

International portfolio diversification: United States and south Asian equity markets

International portfolio diversification: United States and south Asian equity markets

... between the stock markets, noteworthy during and after the1987 international market crash (see, for example, Sie Ting Lau and Thomas ...that the correlation between equity markets only ... See full document

12

Calendar Effects in Stock Markets: Critique of Previous Methodologies and Recent Evidence in European Countries

Calendar Effects in Stock Markets: Critique of Previous Methodologies and Recent Evidence in European Countries

... day of the week effects and month of the year effects, in European stock ...to the literature on calendar effects in stock market ...discuss the shortcomings ... See full document

32

Developing Equity Culture and Partnerships in the Investment  Market: a Study on Iran’s over the Counter Market

Developing Equity Culture and Partnerships in the Investment Market: a Study on Iran’s over the Counter Market

... that the necessity of developing investment market for active participation of persons (whether natural or legal) in the principles of country’s economy and attracting the ... See full document

11

STOCK MARKETS AND THEIR INFORMATIONAL INEFFICIENCIES – THE BSE CASE

STOCK MARKETS AND THEIR INFORMATIONAL INEFFICIENCIES – THE BSE CASE

... spite of a quite powerful empirical sustain, the mean reversion hypothesis is not uniformly verified but exhibited episodically only in certain periods and so a conclusion generalization being ...in ... See full document

9

Efficiency in stock markets with DEA: evidence from PSI20

Efficiency in stock markets with DEA: evidence from PSI20

... on the evidence that DEA gives analysts an ...in the facility of calculating an overall efficiency score based on financial data, to examine different aspects of financial conditions and ... See full document

5

Interdependence and asymmetries: Latin American ADRs and developed markets

Interdependence and asymmetries: Latin American ADRs and developed markets

... evaluate the price behavior for other developing countries or, even, to carry out a study with just the BRICS (Brazil, Russia, India, China and South Africa), which have had outstood in the ... See full document

19

O impacto da crise de 2008 na estrutura temporal de correlação condicional da BMFBovespa El impacto de la crisis de 2008 en la estructura temporal de correlación condicional de BMFBOVESPA

O impacto da crise de 2008 na estrutura temporal de correlação condicional da BMFBovespa El impacto de la crisis de 2008 en la estructura temporal de correlación condicional de BMFBOVESPA

... support the hypothesis of decoupling, since the correlations continued to be high in the post-crisis period when compared to the pre-crisis ...period. The change in the ... See full document

14

Pricing the cost of an election: the impact of the 2014 elections on stock markets

Pricing the cost of an election: the impact of the 2014 elections on stock markets

... to the advances of the political econ- omy literature, but it has a chink in its ...to the analyzed event, market reacts only to political ...nal investors to be surprised by elections ... See full document

39

Herding behavior on mutual fund investors in Brazil

Herding behavior on mutual fund investors in Brazil

... - from now on “LSV” - found only weak evidence to the occurrence of herd behavior, Shapira and Venezia (2006), in their study about transactions made by amateur and professional ... See full document

20

Globalization, regime-switching, and EU stock markets: the impact of the sovereign debt crises

Globalization, regime-switching, and EU stock markets: the impact of the sovereign debt crises

... Finally, the estimated models highlight the importance of modelling the cyclical behaviour of stock market returns to identify the real significance of the ... See full document

7

THE IMPACT OF BEHAVIORAL FINANCE ON STOCK MARKETS

THE IMPACT OF BEHAVIORAL FINANCE ON STOCK MARKETS

... kinds of investors: rational investors (rationals), who behave like agents in economics textbooks, and quasi-rational investors (quasi’s), people who are trying to make good investment ... See full document

6

The impact of credit conditions on market liquidity – a case for European stock markets

The impact of credit conditions on market liquidity – a case for European stock markets

... On the opposite, coordination failures among depositors, banks and intermediaries fed by asymmetric information and incomplete markets, create a vicious illiquidity spiral in the ...system. ... See full document

25

The application of optical measurements for the determination of accuracy of gear wheels casts manufactured in the RT/RP process

The application of optical measurements for the determination of accuracy of gear wheels casts manufactured in the RT/RP process

... discusses the possibilities of using optical measurements for defining the geometric accuracy of gear wheels casts manufactured in the rapid prototyping ...process. The tested ... See full document

4

Forecasting Stock Markets Using Machine Learning

Forecasting Stock Markets Using Machine Learning

... level, the behaviour of the human ...system of interconnected ’neurons’ which can compute values from input variables and fit a function the approximate the desired ... See full document

58

Globalization and european integration exigencies - new challenges for Romanian banks

Globalization and european integration exigencies - new challenges for Romanian banks

... tendency of orientation towards fields that are specific to the banking activity and an adaptation of politics that are typical for universal ...banks. The tendency to accentuate the ... See full document

8

State Detection in a Financial Portfolio wdcfwde

State Detection in a Financial Portfolio wdcfwde

... The Monte Carlo method [40] relies on repeated random sampling to obtain numerical results. By running simulations many times in order to calculate those same probabilities heuristically just like actually playing ... See full document

81

Rev. Soc. Bras. Med. Trop.  vol.47 número6

Rev. Soc. Bras. Med. Trop. vol.47 número6

... Characteristics of the natural ecotope of Eratyrus ...height of 30 meters and a diameter of eight meters; the entrance to the hollow tree was approximately three meters ... See full document

5

15-Lipoxygenase Inhibitory Activity Of  The Extracts From Clerodendrum Quadriloculare Blanco Merr. Lamiaceae Leaves

15-Lipoxygenase Inhibitory Activity Of The Extracts From Clerodendrum Quadriloculare Blanco Merr. Lamiaceae Leaves

... conducted by Tongol and Ysrael, 2015 proved its antispasmodic effect in which the clerosterol compounds might be responsible for its pharmacologic effect [3]. Phytosterols also have medicinal properties such as ... See full document

3

Clustering financial time series: new insights from an extended hidden Markov model

Clustering financial time series: new insights from an extended hidden Markov model

... discussion of time series clustering in the data mining ...on the correlations ...measures of similarity between time series being clustered ...(2013)), the approach proposed here is a ... See full document

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