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Contemporary trends and challenges i...
~
(1998 :)
Contemporary trends and challenges in financeproceedings from the 6th Wroclaw International Conference in Finance /
Record Type:
Electronic resources : Monograph/item
Title/Author:
Contemporary trends and challenges in financeedited by Krzysztof Jajuga ... [et al.].
Reminder of title:
proceedings from the 6th Wroclaw International Conference in Finance /
other author:
Jajuga, Krzysztof.
corporate name:
Published:
Cham :Springer International Publishing :2021.
Description:
ix, 251 p. :ill. (some col.), digital ;24 cm.
Contained By:
Springer Nature eBook
Subject:
Finance
Online resource:
https://doi.org/10.1007/978-3-030-73667-5
ISBN:
9783030736675$q(electronic bk.)
Contemporary trends and challenges in financeproceedings from the 6th Wroclaw International Conference in Finance /
Contemporary trends and challenges in finance
proceedings from the 6th Wroclaw International Conference in Finance /[electronic resource] :edited by Krzysztof Jajuga ... [et al.]. - Cham :Springer International Publishing :2021. - ix, 251 p. :ill. (some col.), digital ;24 cm. - Springer proceedings in business and economics,2198-7246. - Springer proceedings in business and economics..
Chapter 1. The relationship between ethnic diversity and stock market development: A global perspective -- Chapter 2. Does Withholding Tax Reduce International Income-Shifting by FDI? -- Chapter 3. The relationship between trading volume and returns volatility on Warsaw Stock Exchange -- Chapter 4. Factors influencing individual investor participation in stock market -- Chapter 5. Model Risk of VaR and ES using Monte Carlo: Study on Financial Institutions from Paris and Frankfurt Stock Exchanges -- Chapter 6. Tick Size Reduction and Liquidity Dimensions - Evidence from an Emerging Market -- Chapter 7. Cryptocurrency portfolio construction using machine learning models -- Chapter 8. Development factors of blockchain technology within banking sector -- Chapter 9. Does competition matter for the effects of macroprudential policy on bank asset growth? -- Chapter 10. Systemic risk in selected countries of Western and Central Europe -- Chapter 11. Industry and Size Effect in the Relation between Corporate Material and Financial Decisions: Findings from the EU Countries -- Chapter 12. Technology level and financial constraints of public listed companies -- Chapter 13. Differences in use of credit products between the old and new member states of the European Union -- Chapter 14. Diversified risky financial assets in portfolios of risk-averse households - what determines their occurrence? -- Chapter 15. Financial Behavior: Preliminary Survey Results.
This volume continues to highlight the latest research contributions presented at the annual Wroclaw conference in Finance (Poland), covering a wide range of topics in the field. The chapters reflect the extent, diversity, and richness of research areas, and discuss both fundamental and applied finance. A detailed analysis of current financial-market problems including specifics of Polish and Central European markets is also part of this volume. Selected chapters also examine the results of advanced financial modeling. These proceedings are a valuable resource for researchers in universities and research and policy institutions, graduate students and practitioners in economics, finance and international economics in both private and government institutions.
ISBN: 9783030736675$q(electronic bk.)
Standard No.: 10.1007/978-3-030-73667-5doiSubjects--Topical Terms:
236498
Finance
LC Class. No.: HG63 / .W76 2020
Dewey Class. No.: 332
Contemporary trends and challenges in financeproceedings from the 6th Wroclaw International Conference in Finance /
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Chapter 1. The relationship between ethnic diversity and stock market development: A global perspective -- Chapter 2. Does Withholding Tax Reduce International Income-Shifting by FDI? -- Chapter 3. The relationship between trading volume and returns volatility on Warsaw Stock Exchange -- Chapter 4. Factors influencing individual investor participation in stock market -- Chapter 5. Model Risk of VaR and ES using Monte Carlo: Study on Financial Institutions from Paris and Frankfurt Stock Exchanges -- Chapter 6. Tick Size Reduction and Liquidity Dimensions - Evidence from an Emerging Market -- Chapter 7. Cryptocurrency portfolio construction using machine learning models -- Chapter 8. Development factors of blockchain technology within banking sector -- Chapter 9. Does competition matter for the effects of macroprudential policy on bank asset growth? -- Chapter 10. Systemic risk in selected countries of Western and Central Europe -- Chapter 11. Industry and Size Effect in the Relation between Corporate Material and Financial Decisions: Findings from the EU Countries -- Chapter 12. Technology level and financial constraints of public listed companies -- Chapter 13. Differences in use of credit products between the old and new member states of the European Union -- Chapter 14. Diversified risky financial assets in portfolios of risk-averse households - what determines their occurrence? -- Chapter 15. Financial Behavior: Preliminary Survey Results.
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This volume continues to highlight the latest research contributions presented at the annual Wroclaw conference in Finance (Poland), covering a wide range of topics in the field. The chapters reflect the extent, diversity, and richness of research areas, and discuss both fundamental and applied finance. A detailed analysis of current financial-market problems including specifics of Polish and Central European markets is also part of this volume. Selected chapters also examine the results of advanced financial modeling. These proceedings are a valuable resource for researchers in universities and research and policy institutions, graduate students and practitioners in economics, finance and international economics in both private and government institutions.
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EB HG63 .W957 2020 2021
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https://doi.org/10.1007/978-3-030-73667-5
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