Portfolio analysis
Evidence, explanation of the cost of the award. A combination of cost and momentum strategies. Working with abnormal distributions. Testing of median values for significance. Measuring the performance of built portfolios. Conducting regression analysis.
Подобные документы
Analysis of models of determining the market value of a business. Research on the pricing of financial assets. Ways to increase the reliability of the accuracy of monetary valuation results. The search for the optimal ratio of equity and debt capital.
статья, добавлен 10.10.2024Why do companies hedge the different proportion of their production. Significant variation of companies' behavior means. The factors that determine hedging activities. The financial distress costs reduction and optimizing of investment financing.
дипломная работа, добавлен 23.09.2018Decision-making criteria in economics. Analysis of the influence of natural resources on the fiscal policy of the state. Characteristics of the budgetary obligations of Russia. Development of mechanisms to compensate for price fluctuations and inflation.
статья, добавлен 04.05.2022Evaluation of the effectiveness of the modern company in various aspects, its competitiveness and growth opportunities, absolute profit figures. Calculation of indicators of relative profitability. Assessment of the financial position of the company.
статья, добавлен 01.09.2018Analysis of the residual bidding position of shareholders in terms of dividend payments. Historical preconditions for dividends that led to the application of the shareholder priority rule. Freedom of action for managers when calculating payments.
статья, добавлен 23.09.2020Methods of the study significant changes in the flows of financial data. The differences between chaotic and stochastic systems. Features and ways of calculating the correlation dimension of the time series. Methods and algorithms of analysis programs.
дипломная работа, добавлен 30.08.2016Characterization of the behavior of the board in respect of income which is a key issue to each shareholder. Analysis of management on the main features: quality earnings and revenues, income instability, discretionary charges and cases of fraud.
статья, добавлен 30.01.2016Determination of functions of distribution of wealth among bitcoin owners. The use of comparative analysis methods with a graphical representation of the results in the form of Lorentz and Lame curves in relations between people who own bitcoin wallets.
статья, добавлен 08.02.2021Analysis of the state of the Russian financial system by assessing its concept, viewing the current structure, identifying problems and prospects for future development. Functions of the fiscal concept. The formation, redistribution and use of funds.
статья, добавлен 15.04.2019The problems of forming a spread of government bonds as an important indicator of the country's financial market vulnerability. Analysis of the impact on it in countries that are new members of the European Union and in Ukraine, their comparison.
статья, добавлен 28.09.2016Consideration of technological innovations as the driving force of development, the main optimization technology, with high growth rates of industrial enterprises. Assessment of the profitability and risks of Chinese shares, recommendations to investors.
дипломная работа, добавлен 10.08.2020The problem of optimizing budget control. The methodology for its implementation in assessing the costs of the social sector on the example of the analysis of control reports of the Accounts Chamber and the Control and Auditing Department of the RU.
статья, добавлен 26.07.2020The role of innovative development of oil engineering enterprises in the economy. The level of profitability of the work and services of the enterprise. Analysis of impact of export costs and total income on the amount of taxes payable by enterprise.
статья, добавлен 20.02.2023Carries out the scientific and methodological analysis of the role of institutional theory in the budget research. The study of the military funding as a component of the country's budget system necessitates the use of the methodological toolkit.
статья, добавлен 19.03.2024The importance of financial stability analysis for the development of the agricultural sector and the economy of Ukraine. Assessment of the features and problems of agriculture based on a comparison of indicator indicators with developed countries
статья, добавлен 18.01.2022Analysis of the company’s annual reports. Examination of company’s footwear & apparel business segment development. Forecast revenue and other financials required for company’s valuation. Building of DCF model based on assumptions and forecasts.
дипломная работа, добавлен 10.08.2020Analysis of existing models for identifying the optimal debt structure. Identify and analyze the factors and risks that can determine and mitigate the capital structure. Development of a debt management model for optimizing the capital structure.
магистерская работа, добавлен 18.11.2017Analysis of financial activities of agricultural holdings of Pomerania and Mazury of Poland, leading accounting and having a minimum economic size. Classification of agroholdings by economic rating, algorithm for assessing their financial position.
статья, добавлен 24.11.2017Study of the international and Ukrainian experience in implementing the participation budget. Study of the institutional framework for the implementation of the of civil budget in Kharkov. Analysis of the problem of preliminary verification of projects.
статья, добавлен 02.11.2018Indebtedness is an economic phenomenon, the appearance of which is due to objective reasons during the financial and economic activity of the enterprise. The state of accounts payable is important for enterprises of all industries and forms of ownership.
статья, добавлен 18.09.2024The analysis of factors, conditions that affect the attractiveness of mining investment in Poland. Political risk, institutions and foreign direct investment. Measurement of competitive advantages and market attractiveness for strategic controlling.
статья, добавлен 30.11.2020Модель Constant Proportion Portfolio Insurance. Риск изменения ставки процента, дюрация. Основные понятия и управление дюрацией Деривативы. Фьючерсное хеджирование, внутренняя стоимость и цена опциона. Пут-колл паритет, модель ценообразования опционов.
лекция, добавлен 09.04.2016The security and solvency of investors and creditors - the main goal of banking regulation. Analysis of the basic high-priority tasks of government regulation, monitoring in order to provide for stability and reliability of banking system in Ukraine.
статья, добавлен 14.07.2017Analysis of the damage caused to China's SMEs by the epidemic, characterization of regulatory support measures for SMEs and an assessment of their effectiveness. The tools of support that were offered by the People's Bank of China were considered.
статья, добавлен 11.02.2021Analysis of financial mechanisms for optimizing the organization's logistics flows. Determination of parameters based on functional cycles, a system for managing the movement of goods in supply chains. Decision-making process in the logistics system.
статья, добавлен 27.04.2021