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.
The systematic study of the theoretical principles and practical aspects of the financial efficiency ensuring the implementation of government programs in Ukraine. Eefficient using of the financial instruments for the saving resources stimulation.
статья, добавлен 28.07.2017
The Financial Crisis. The housing market. Quiz "Family's Budget and Financial Crisis". Credit got us into this mess. Why give more. Coping Well with Change and Loss. Recovering from financial setbacks. Recovering from adversity. Top Ten Money Myths.
реферат, добавлен 24.10.2017
Description of the financial system in Turkey, meeting with the most famous non-bank financial institutions. Consideration of the basic forms of life insurance. Features of the three types of financial companies in Turkey: sales, consumers, and business.
реферат, добавлен 30.06.2014
Key features and analysis of the activities of private enterprise "UBA". Application of methodological approaches to the assessment of the company. A comprehensive description of the financial situation of the company, recommendations for its improvement.
статья, добавлен 27.03.2016
Of all the many changes of the world economy in recent decades, few have been nearly so dramatic as the resurrection of global finance. How can we explain the remarkable globalization of financial markets and what are its economic, political implications?
статья, добавлен 19.09.2013
Interventionist trends in financial regulation. Cases and regulatory frameworks of extraterritorial sanctions resulting in fines. Analysis of regulatory components: category, mode, and geographical scale. Components and patterns of regulatory conflicts.
дипломная работа, добавлен 29.11.2015
Principles of organization of financial security of the company, which are necessary for the construction of a mechanism for reducing corporate financial risks. An exemplary portfolio of financial risks that may arise in the main areas of the enterprise.
статья, добавлен 01.09.2018
The reducing of regional disparities, the formation of sectoral perspectives for economic and social development of the regions, financial support to the states by means of block grants and stimulating the development of integration trends in USA.
статья, добавлен 26.07.2016
The relationship between the main financial products of financial, credit institutions in Tajikistan and remittances of migrant workers. Assessment by financial institutions of all costs and benefits associated with the retention of migrant remittances.
статья, добавлен 19.05.2018
The peculiarities of functioning of the financial system of Greece. Analysis of the relationship between the level of economic well-being of the country and the level of development of the financial system of the country. Financial development Greece.
статья, добавлен 05.10.2018
Работы в архивах красиво оформлены согласно требованиям ВУЗов и содержат рисунки, диаграммы, формулы и т.д.
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