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Статті в журналах з теми "Banks stock indices"
Arı, Yakup. "The CARR-volatility connectedness between USD/TRY and foreign banks in Turkey: Evidence by TVP-VAR." Applied Econometrics 67, no. 3 (2022): 5–26. http://dx.doi.org/10.22394/1993-7601-2022-67-5-26.
Повний текст джерелаJaveed, Laila. "Effect of Corporate Governance on Islamic Banking: Evidence from Listed Firms of Pakistani Stock Exchange." International Journal of Accounting and Financial Reporting 9, no. 1 (January 3, 2019): 170. http://dx.doi.org/10.5296/ijafr.v9i1.14260.
Повний текст джерелаEl Msiyah, Cherif, Jaouad Madkour, Younes Berouaga, Ayoub Kyoud, and Ali Ait Lahcen. "Moroccan Stock Exchange market topology in crisis and non-crisis periods." Investment Management and Financial Innovations 19, no. 4 (December 8, 2022): 274–84. http://dx.doi.org/10.21511/imfi.19(4).2022.22.
Повний текст джерелаNoulas, Athanasios, Ioannis Papanastasiou, and Simeon Papadopoulos. "Sectors stock indices aggregate correlations and expectations: Evidence from the Greek stock market." Risk Governance and Control: Financial Markets and Institutions 11, no. 2 (2021): 71–81. http://dx.doi.org/10.22495/rgcv11i2p6.
Повний текст джерелаAnwer, Zaheer, Wajahat Azmi, and Shamsher Mohamad Ramadili Mohd. "How do Islamic equities respond to monetary actions?" International Journal of Emerging Markets 14, no. 4 (October 14, 2019): 503–22. http://dx.doi.org/10.1108/ijoem-11-2017-0459.
Повний текст джерелаEl Hawary, Engy Mohsen, and Iman Mamdouh Arafa. "Studying the Effect of Stakeholders on the Disclosure of Corporate Social Responsibility by Banks: Evidence from Egypt." Accounting and Finance Research 7, no. 4 (November 23, 2018): 200. http://dx.doi.org/10.5430/afr.v7n4p200.
Повний текст джерелаSehgal, Meru, and Shruti Gupta. "Stock Markets in Changing Times." International Journal of Business Analytics 8, no. 3 (July 2021): 14–25. http://dx.doi.org/10.4018/ijban.2021070102.
Повний текст джерелаWahhab, Asaad, Mohammed Abd Ali M. A. Al Fattehallah, and Mohammed Hwueish Allawi Alsujair. "Transparency of Financial Reporting According to the S&P500 Indices and its Implications for Accounting Information Risks - Evidence from the Iraq Stock Exchange." Technium Business and Management 2, no. 3 (December 20, 2022): 140–58. http://dx.doi.org/10.47577/business.v2i3.8067.
Повний текст джерелаBrezis, Elise S., and Joël Cariolle. "The revolving door, state connections, and inequality of influence in the financial sector." Journal of Institutional Economics 15, no. 4 (January 18, 2019): 595–614. http://dx.doi.org/10.1017/s1744137418000498.
Повний текст джерелаAbdel Hakim, Hisham Talaat, and Shakir Mohsin Saber Alwahili. "Effect of Exchange Rate Risk in the Market Value of Banks Stocks." Iraqi Administrative Sciences Journal 1, no. 3 (September 30, 2017): 145–78. http://dx.doi.org/10.33013/iqasj.v1n3y2017.pp145-178.
Повний текст джерелаДисертації з теми "Banks stock indices"
Majidi, Elmehdi. "Finance islamique et croissance économique : quelles interactions dans les pays MENA." Thesis, Pau, 2016. http://www.theses.fr/2016PAUU2001/document.
Повний текст джерелаThis dissertation contains three essays on different issues on mergers and acquisitions, left unexplored or unresolved by the existing literature. The first study examine the relationship between Islamic finance development and economic growth in a panel of 15 MENA and Sout-est-asia countries over the 2000-2009 period, using a variety of econometric methods and four standard measures of Islamic financial development. The study identifies two sets of findings. First, fixed effects estimation, panel-data-instrument variables regressions and GMM-difference estimator reveal that the relationship between Islamic financial development and economic growth is positive. The semiparametric panel model shows that there is evidence of nonlinearity in the data. The second study, assess empirically the effect of the 2007-2008 subprime financial crisis on Islamic banks using a sample of 27 Islamic banks and 43 conventional banks during the period from 2005 to 2009. Using the Z-score as indicator of bank stability the results of our regression analysis show that there is no difference in terms of the effect of the financial crisis on the soundness of Islamic bank and their conventional counterparts. The third study aims to examine the volatility of Islamic stock index compared to their conventional counterparts. Five major Islamic stock indexes have been the subject of our third study as well as their conventional counterparts. Covering a time period from 12/02/2009 to 12/02/2014. The application of Granger causality tests detected different causalities during the period, between the returns series under study. Employing Generalized Autoregressive Conditional Heteroskedastic (GARCH), our results indicate that, four among five Islamic stock indexes were less volatile than their conventional counterparts. But, one Islamic index are more volatile than their conventional counterpart
Книги з теми "Banks stock indices"
Office, General Accounting. Financial management: Defense accounting adjustments for stock fund obligations are illegal : report to the Secretary of Defense. Washington, D.C: The Office, 1987.
Знайти повний текст джерелаOffice, General Accounting. Financial management: Operating cash requirement for Air Force stock fund can be reduced : report to the chairman, Subcommittee on Defense, Committee on Appropriations, House of Representatives. Washington, D.C: The Office, 1989.
Знайти повний текст джерелаOffice, General Accounting. Financial management: Analysis of operating cash balance of the Defense Logistics Agency's stock fund : report to the chairman, Subcommittee on Defense, House Committee on Appropriations, House of Representatives. Washington, D.C: The Office, 1990.
Знайти повний текст джерелаRichard, Clark. Part V Deposit-Taking and Consumer Credit Conduct of Business, 16 Conduct of Business for Banks, Other Deposit-Takers, and Payment Services Providers. Oxford University Press, 2014. http://dx.doi.org/10.1093/law/9780198705956.003.0016.
Повний текст джерелаAnheier, Helmut K., Matthias Haber, and Mark A. Kayser, eds. Governance Indicators. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198817062.001.0001.
Повний текст джерелаFinancial management: DOD faces implementation problems in stock funding repairable inventory items : report to the Chairman, Subcommittee on Defense, Committee on Appropriations, House of Representatives. Washington, D.C: The Office, 1991.
Знайти повний текст джерелаЧастини книг з теми "Banks stock indices"
Ika, Siti Rochmah, and Ari Kuncara Widagdo. "Ownership Structure and Intellectual Capital Performance." In Corporate Leadership and Its Role in Shaping Organizational Culture and Performance, 203–28. IGI Global, 2021. http://dx.doi.org/10.4018/978-1-5225-8266-3.ch010.
Повний текст джерелаSelviah, David R., and Janti Shawash. "Generalized Correlation Higher Order Neural Networks for Financial Time Series Prediction." In Artificial Higher Order Neural Networks for Economics and Business, 212–49. IGI Global, 2009. http://dx.doi.org/10.4018/978-1-59904-897-0.ch010.
Повний текст джерелаPachpande, Sandeep, Asha Pachpande, and J. A. Kulkarni. "The ‘Walkart’ of India." In Indian Business Case Studies Volume I, 157—C17.P59. Oxford University PressOxford, 2022. http://dx.doi.org/10.1093/oso/9780192869371.003.0017.
Повний текст джерелаWilletts, David. "Introduction." In A University Education. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780198767268.003.0004.
Повний текст джерелаТези доповідей конференцій з теми "Banks stock indices"
Bal, Harun, Shahanara Basher, and Abdulla Hil Mamun. "The Aftermath of Quantitative Easing in Advanced Economies: The Empirical Evidences." In International Conference on Eurasian Economies. Eurasian Economists Association, 2019. http://dx.doi.org/10.36880/c11.02279.
Повний текст джерелаÇelik, Sadullah, and Elif İşbilen. "An Unconventional Example of Big Data: BIST-100 Banking Sub-Index of Turkey." In CARMA 2018 - 2nd International Conference on Advanced Research Methods and Analytics. Valencia: Universitat Politècnica València, 2018. http://dx.doi.org/10.4995/carma2018.2018.8356.
Повний текст джерелаKumra, Neha, L. M. Saha, and M. K. Das. "Investigation of chaos in Indian bank stocks, NIFTY and bank NIFTY indices." In DIDACTIC TRANSFER OF PHYSICS KNOWLEDGE THROUGH DISTANCE EDUCATION: DIDFYZ 2021. AIP Publishing, 2022. http://dx.doi.org/10.1063/5.0080700.
Повний текст джерелаSaraidaris, A., and A. Margaris. "Is There a Chaos Occurrence in Athens Exchange? Testing Chaotic Behavior in Bank Stocks and ATHEX Indices." In Topics on Chaotic Systems - Selected Papers from CHAOS 2008 International Conference. WORLD SCIENTIFIC, 2009. http://dx.doi.org/10.1142/9789814271349_0032.
Повний текст джерелаЗвіти організацій з теми "Banks stock indices"
Yaari, Menahem, Elhanan Helpman, Ariel Weiss, Nathan Sussman, Ori Heffetz, Hadas Mandel, Avner Offer, et al. Sustainable Well-Being in Israel. The Israel Academy of Sciences and Humanities, June 2021. http://dx.doi.org/10.52873/policy.2021.wellbeing-en.
Повний текст джерела