Fractal analysis of financial markets
Study of the questions the applicability of the efficient market hypothesis for analysis of financial markets. Analyze methods of forecasting future prices of financial assets based on the concept of the fractal structure and long-term memory of markets.
Contents of the concept of financial stability (FB) of the organization. Assessment of the FB of agricultural organizations, along with the use of the proposed integral assessment of FB. Factor analysis of the coefficients of financial independence.
статья, добавлен 21.06.2018
Methods 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 30.08.2016
Essence, main points and classification of Capital markets. Difference between Money Markets, Capital Markets and regular bank lending. Market participants. The main trading room of the Tokyo Stock Exchange. New issuance, Investment strategies, Taxation.
эссе, добавлен 22.08.2013
Bank loans as the main financial instruments of the enterprise. Control market danger exposures within acceptable parameters, while optimising returns - one of the objective of risk management. Profitability analysis of United Company "RUSAL" PLC.
презентация, добавлен 26.06.2016
Low quality of reporting in Asia compared to developed markets - the main incentives for investment in the financial sector in the region. Cash accounting - the methodology of recording transactions only if the real cash flows in or out of the firm.
курсовая работа, добавлен 16.11.2015
Substantiation of necessity of financial analysis, on the example of a commercial firm. The role of analysis for raising capital in the company. Development of recommendations to improve the external and internal financing and increase your profits.
контрольная работа, добавлен 16.10.2013
The dawn of international investing. The intuition behind diversifying across nations. International portfolio diversification benefits: Cross-country evidence from a local perspective. Returns in emerging markets. The development of the financial market.
курсовая работа, добавлен 28.08.2016
The problem of sharp exchange rate fluctuation of the ukranian national currency is considered in the article. The international practice shows that consolidation of the national financial markets may be provided on the basis of such regulated markets.
статья, добавлен 28.09.2016
Determining the relationship between market structure and financial decisions of companies. Determining degree of influence of market structure on the capital structure. The market structure implies market power, which is measured by the Tobin’s Q ratio.
статья, добавлен 01.06.2018
Financial statements of the company in the market economy conditions is the main source of information about the assets, capital, profits and cash flows. Introduction of accounting at the enterprise. Assessment of the financial position of the company.
статья, добавлен 01.09.2018
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