Chief Executive Officer Overconfidence and Firm’s Investment Decisions: Evidence from Russia
Previous research on relationship between Chief Executive Officer overconfidence and investments decisions. Recent empirical findings. Variables and Chief Executive Officer overconfidence index construction. Board’s role in investment decision-making.
The studying and analyzing of the current state of the international investment activity, to identify its influence on national economies, to find the main competitive advantages of the world leading companies of the global information technology market.
статья, добавлен 16.11.2018
Financial stability as a basis for the development of sectors and society as a whole. Increased attention to the mechanisms of implementation of financial stability in Ukraine. The degree of development of investment policy and the banking system.
статья, добавлен 23.09.2016
Research the performance of the contrarian strategy using stock market indexes of developing countries over the 1987-2014 period. The results of this research provide evidence for existence of the mean reversion phenomenon across developing markets.
дипломная работа, добавлен 30.07.2016
Concept and essence of credit risk. Understanding the risk of occurrence of the overdue obligations of the lending company for loans and financial investments, due to the failure or improper fulfillment by the supplier or buyer of its debt obligations.
статья, добавлен 12.02.2019
Why 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 23.09.2018
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
SWOT-analysis of venture activity investment environment for industrial facilities. Major features of the conceptual model for industrial company which can be used when targeting investors. A scheme of relationships between investor and venture company.
статья, добавлен 15.05.2018
The risk assessment method in information uncertainty, its place in the system of credit risk management of banks that lend to enterprises in various sectors of the economy. Determination of the level of riskiness of Bank activity in the lending market.
статья, добавлен 29.09.2016
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.
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Taxation as a component of the system of management. The role of taxation in the system of macroeconomic. Expediency and necessity of transition to managing taxation with the due account of the metrologically estimated inter-industry links are groun.
статья, добавлен 28.09.2016
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