Extrapolation usage for predicting cryptocurrency pricing
Development of predictive models of risk management in the field of Finance. Research of the dynamics of crypto currency markets. Applying linear and polynomial extrapolation methods to analyze the annual Bitcoin. Building cryptocurrency price forecasts.
Подобные документы
Consideration of models of corporate financing. Characteristic types of secured and subordinated corporate debt. Familiarization with the concept of common and preferred shares. Interpretation of the concept of risk of default and rating of the notes.
презентация, добавлен 02.08.2013Approaches to the formation of financial instruments that directly affect the development of enterprises. Objective and subjective factors that affect the dynamics and effectiveness of financial instruments. Expediency of using financial forecasting.
статья, добавлен 14.09.2022Background papers and theoretical aspects of financial strategizing methods. Strategy development of wholesale company. Development of anti-crisis financial strategy on the basis of Arla Foods. Recommendations for company's performance improvements.
дипломная работа, добавлен 26.08.2017Summarizing national practices of institutional reorganization in the sphere of finance. The redistribution of functions between the state and the market In Ukraine. Peculiarities of economic transformation in the categories of institutional theory.
статья, добавлен 16.06.2024Equivalent annual costs - the cost per period with the same present value as the cost of buying and operating a machine. Project interaction. An optimal timing and fluctuating load factors. The role of investment decisions with the net present value rule.
презентация, добавлен 02.08.2013Analysis of the period of company take over in terms of risk-return trade off. Description of the model used to analyze the volatility of stock returns. Exploration of dependence the volatility of stock return on the type of the acquiring company.
дипломная работа, добавлен 30.07.2016Company and project costs of capital. Measuring the cost of equity. Setting discount rates w/o beta. Certainty equivalents. Discount rates for international projects. Measuring and estimated betas. Beta stability. Capital structure. International risk.
презентация, добавлен 02.08.2013- 108. Financial Markets
Financial market and its structure. Composition of Financial market. Participants and issuers in KR securities market. Financial Instruments. Classification of Securities. Professional participants. Trade on Stock Exchange. Analyze of Financial Market.
презентация, добавлен 28.05.2014 The study of the essence and nature of double taxation in the conditions of transfer pricing. The crux of the problem is that profits from transfer transactions may be subject to taxation in both countries where the related parties are located.
статья, добавлен 04.09.2024A review of the basics. NPV and its competitors. The book rate of return. Internal rate of return. Capital rationing. CFO decision tools. The payback period of a project. Term structure assumption. Profitability index. Linear programming. Vegetron case.
презентация, добавлен 02.08.2013The differences from traditional forms of crowdfunding to raise funds to finance the projects. The basis of types of crowdfunding goal developers projects and reward features of social investors. Trends of crowdfunding in today’s business environment.
статья, добавлен 01.12.2017Analysis of the mechanisms of state regulation of the stock market based on national characteristics. The importance of creating an adequate legal framework. The need for control over pricing processes by state authorities in the securities market.
статья, добавлен 03.12.2020Mechanisms used in European countries to finance social housing. Ensuring the recruitment of personnel to critical infrastructure facilities. Financing mechanisms with the involvement of private capital that will cover the population's housing costs.
статья, добавлен 12.05.2024Assessing risks of Zagreb Stock Exchange and future offerings that are relevant in making the decisions about investments. The importance of diversification and systemic risk of individual stocks. Systemic risk of the given portfolio and its importance.
статья, добавлен 02.07.2013The rate of price inflation in the United States. The trend-cycle model with stochastic volatility explains a variety of recent univariate inflation forecasting difficulties and begins to explain some multivariate inflation forecasting puzzles as well.
статья, добавлен 28.06.2013Peculiarities of lending in the construction industry and to detail the available creditworthiness assessment methods, taking into account the specifics of the functioning of the construction organization and the characteristics of construction projects.
статья, добавлен 26.12.2023The theory of random walks in stock prices actually involves two separate hypotheses: successive price changes are independent, and the price changes conform to some probability distribution. Implications of independence the bachelier-osborne model.
статья, добавлен 09.09.2012Determination of the features of effective investment policy, which can create conditions for overcoming the current crisis through attracting foreign capital. Analysis of methods for attracting foreign investment and financial control over their use.
статья, добавлен 01.12.2017Decision-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 04.05.2022The theoretical foundations of land tax as an economic category and the mechanism of rent assignment. Analyze the existing methods of land taxation on the rental basis. The relationship between land rent and the indicators of agricultural land efficiency.
статья, добавлен 28.09.2016Small business - an incubator for innovations and employment growth in recent years. The main instruments of financing small and medium enterprises in order to promote innovation. High risk involved - the characteristic of classic venture capital.
статья, добавлен 22.02.2021The role financial market in the economy. Buying and selling stocks and bonds. Types of financial markets. Rational distribution of resources. Volume and structure of manufacture. Development of the Ukrainian infrastructure of the financial market.
презентация, добавлен 15.03.2016- 123. Credit limits
The level of financial markets’ development, accessibility of credit resources. Summary statistics of parameters of interest, split by export status. Typical overlap plot for most of model specifications. Firms that have the potential to start exporting.
курсовая работа, добавлен 22.01.2016 Key principles of modern global monetary policy. Ensuring sustainable development of the Ukrainian economy in the context of martial law and further post-war recovery. Increase and stimulate credit and investment activity, strengthen price stability.
статья, добавлен 15.04.2024The research intends to utilize a method to provide empirically the impact of financial crises in Lithuania, Austria and Kazakhstan, using dummy variable, non-Linear exponential model, Generalized autoregressive conditional heteroskedasticity model.
статья, добавлен 26.06.2018