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2. Risk, Returns, and Wealth Creation: Insights from Private Market Investments.

3. A Study on the Hedging and Safe-Haven Features of Non-fungible Tokens Segments.

5. The co-evolution of sustainable finance stakeholders under the EU taxonomy for sustainable activities: an exploratory study of Irish disclosure experiences.

6. DYNAMIC INTERRELATIONSHIPS AMONG BITCOIN, BONDS, AND SECTORAL INDICES IN INDIA: EVIDENCE FROM PRE- AND POST-COVID-19.

7. Performance of renewable and non-renewable exchange-traded funds during heightened uncertainty.

8. A Framework for Investment and Risk Assessment of Agricultural Projects.

9. Performance and reporting predictability of hedge funds.

10. The Effects of the Introduction of Volume-Based Liquidity Constraints in Portfolio Optimization with Alternative Investments.

11. Heuristic Bias and Herding Behavior for Predicting Investor Decision in Cryptocurrency Trading.

12. Investment Decision-Making to Select Converted Electric Motorcycle Tests in Indonesia.

13. Kerala's Vacant Houses: Exploring Sustainable Finance Solutions and the Role of SDGs in Housing Investment.

14. Age-related reproductive effort in male chimpanzees: terminal investment or alternative tactics?

15. Navigating Turbulent Skies: Insolvency and Bankruptcy in the Aviation Sector.

16. Security tokens, ecosystems and financial inclusion: Islamic perspectives.

17. Green Beta: Comparison of Green and Non-Green Stocks Based on Downside Risk.

18. Generalized Stochastic Arbitrage Opportunities.

19. Higher Education and Local Educational Attainment: Evidence from the Establishment of U.S. Colleges.

20. Własności szeregów czasowych stóp zwrotu z inwestycji w metale nieżelazne.

21. Simulations of a dynamical portfolio consist of stocks and options for investment during the COVID-19 pandemic.

22. Market of the Russian avant-garde painting: investment potential and characteristics of auctioning

23. Balance Your Risk and Reward.

24. THE IMPACT OF INTEREST AND INFLATION RATES ON STOCK RETURNS: QUANTILE REGRESSION ANALYSIS FOR TÜRKIYE.

25. Are VaR models effective in capturing downside risk in alternative investment funds? Insights from a cross-country study.

26. Modeling financial leasing by optimal stopping approach.

27. A Study on Middle Class People Habits in Indian Banking with Rrrefffernce to ICICI.

28. Awareness marketing: cause-related marketing without direct contribution.

29. Freeport as a Hub in the Art Market: Shanghai Art Freeport.

30. Exploring the Resilience of Islamic Stock in Indonesia and Asian Markets.

31. Shaping of microbial phenotypes by trade-offs.

32. Spatial outward FDI: Evidence from China's multinational firms.

33. OG-CAT: A Novel Algorithmic Trading Alternative to Investment in Crypto Market.

34. The role of alternative investments in Brazilian portfolios.

35. richard ennis's insights Endowments in the Casino: Even the Whales Lose at the Alts Table.

36. Honey, the Fed Shrunk the Equity Premium: Asset Allocation in a Higher-Rate World.

37. Endogenous market choice, listing regulations, and IPO spread: Evidence from the London Stock Exchange.

38. Das BMF nimmt Stellung: Verwaltung von Investmentvermögen gem. § 1 Abs. 3 KAGB (Alternative Investmentfonds) ab dem 1.1.2024 steuerfrei.

39. PM Highlights Huge Investment Potential in Alternative Energy Sector.

40. Constructing an Investment Scam Detection Model Based on Emotional Fluctuations Throughout the Investment Scam Life Cycle.

41. Have Alternative Investments Helped or Hurt?

42. Delegated Investment Management in Alternative Assets.

43. Comparative Analysis of Portfolio Performance, Risk and Return of Cryptocurrencies (Bitcoin), Stocks and Gold as Alternative Investments in the Digital Age.

44. Cost Analysis the Implementation of New Material: The Case Study of Cement Product.

45. Multi-criteria group decision-making based on dombi aggregation operators under p, q-quasirung orthopair fuzzy sets.

46. COMMODITIES AND PORTFOLIO DIVERSIFICATION: EMPIRICAL EVIDENCE FROM CRISIS DURESS.

47. IMPACT OF ALTERNATIVE ENERGY INVESTMENTS ON EMPLOYMENT IN AZERBAIJAN.

48. The Effect of Clean Energy Financial Investment on Carbon Reduction.

49. How does mutual fund flow respond to oil market volatility?

50. Optimizing insurers’ investment portfolios: incorporating alternative investments

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