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11853 publications

  1. Financial Cycles
  2. Financial Data Analytics
  3. Financial Data Resampling for Machine Learning Based Trading
  4. Financial Decision Aid Using Multiple Criteria
  5. Financial Decision Making Using Computational Intelligence
  6. Financial Deepening and Post-Crisis Development in Emerging Markets
  7. Financial Deregulation
  8. Financial Derivatives Modeling
  9. Financial Determinants of High-Growth Companies
  10. Financial Development and Economic Growth
  11. Financial Development, Institutions, Growth and Poverty Reduction
  12. Financial Developments in National and International Markets
  13. Financial Dimensions of Marketing
  14. Financial Dimensions of Marketing
  15. Financial Dimensions of Marketing Decisions
  16. Financial Distress and Corporate Turnaround
  17. Financial Distress, Corporate Restructuring and Firm Survival
  18. Financial Dollarization
  19. Financial Econometrics Modeling: Derivatives Pricing, Hedge Funds and Term Structure Models
  20. Financial Econometrics Modeling: Market Microstructure, Factor Models and Financial Risk Measures
  21. Financial Econometrics and Empirical Market Microstructure
  22. Financial Econometrics, Mathematics and Statistics
  23. Financial Econometrics: Bayesian Analysis, Quantum Uncertainty, and Related Topics
  24. Financial Economics
  25. Financial Economics
  26. Financial Ecosystem and Strategy in the Digital Era
  27. Financial Education in U.S. State Colleges and Universities
  28. Financial Engineering
  29. Financial Engineering
  30. Financial Engineering
  31. Financial Engineering durch Finanzinnovationen
  32. Financial Engineering und Informationstechnologie
  33. Financial Engineering with Copulas Explained
  34. Financial Engineering, E-commerce and Supply Chain
  35. Financial Enterprise in South Africa since 1950
  36. Financial Environment and Business Development
  37. Financial Ethics
  38. Financial Exclusion
  39. Financial Exposure
  40. Financial Fairplay im Profifußball
  41. Financial Fragility, Debt and Economic Reforms
  42. Financial Freedom
  43. Financial Futures Markets
  44. Financial Futures im Jahresabschluß deutscher Kreditinstitute
  45. Financial Globalization
  46. Financial Globalization and Democracy in Emerging Markets
  47. Financial Globalization in the Emerging Balkans
  48. Financial Identity Theft
  49. Financial Inclusion Schemes in India
  50. Financial Inclusion and Digital Transformation Regulatory Practices in Selected SADC Countries
  51. Financial Inclusion and Livelihood Transformation
  52. Financial Inclusion and Poverty Alleviation
  53. Financial Inclusion and the Role of Banking System
  54. Financial Inclusion in Asia
  55. Financial Inclusion in China
  56. Financial Inclusion in Circular Economy
  57. Financial Inclusion in Emerging Markets
  58. Financial Inclusion of the Marginalised
  59. Financial Inclusion, Technology and Virtual Banking
  60. Financial Innovation and Engineering in Islamic Finance
  61. Financial Innovation and Resilience
  62. Financial Innovation and Value Creation
  63. Financial Innovations and Monetary Reform
  64. Financial Innovations and the Welfare of Nations
  65. Financial Innovations in International Debt Management
  66. Financial Instability
  67. Financial Instability and the International Debt Problem
  68. Financial Institutions and Markets
  69. Financial Institutions and Markets
  70. Financial Institutions and Markets
  71. Financial Institutions and Markets in Southeast Asia
  72. Financial Institutions and Markets in the Far East
  73. Financial Institutions and Markets in the South Pacific
  74. Financial Institutions and Markets in the Southwest Pacific
  75. Financial Institutions and Social Transformations
  76. Financial Institutions in Europe under New Competitive Conditions
  77. Financial Institutions in the Global Financial Crisis
  78. Financial Instruments and Cash Waqf
  79. Financial Integration
  80. Financial Integration in Europe
  81. Financial Interdependence, Digitalization and Technological Rivalries
  82. Financial Intermediation and Deregulation
  83. Financial Intermediation in Europe
  84. Financial Intermediation in the 21st Century
  85. Financial Lexicon
  86. Financial Liberalisation
  87. Financial Liberalization
  88. Financial Liberalization and Economic Performance in Emerging Countries
  89. Financial Liberalization and the Asian Crisis
  90. Financial Liberalization in Developing Countries
  91. Financial Literacy
  92. Financial Literacy Education
  93. Financial Literacy Education
  94. Financial Literacy and Money Script
  95. Financial Literacy and the Limits of Financial Decision-Making
  96. Financial Management
  97. Financial Management
  98. Financial Management
  99. Financial Management Practices
  100. Financial Management and Corporate Governance from the Feminist Ethics of Care Perspective
  101. Financial Management of Family Businesses
  102. Financial Management of Life Insurance Companies
  103. Financial Market Bubbles and Crashes
  104. Financial Market Bubbles and Crashes, Second Edition
  105. Financial Market Drift
  106. Financial Market Dynamics after COVID 19
  107. Financial Market Imperfections and Corporate Decisions
  108. Financial Market Integration and Growth
  109. Financial Market Regulation
  110. Financial Markets (Dis)Integration in a Post-Brexit EU
  111. Financial Markets Efficiency and Economic Behaviour
  112. Financial Markets Evolution
  113. Financial Markets Regulation
  114. Financial Markets Theory
  115. Financial Markets Theory
  116. Financial Markets and Economic Performance
  117. Financial Markets and Organizational Technologies
  118. Financial Markets in Continuous Time
  119. Financial Markets in Perspective
  120. Financial Markets, SME Financing and Emerging Economies
  121. Financial Math for Business and Economics
  122. Financial Mathematics
  123. Financial Mathematics
  124. Financial Mathematics, Derivatives and Structured Products
  125. Financial Mathematics, Derivatives and Structured Products
  126. Financial Microeconometrics
  127. Financial Modeling
  128. Financial Modeling
  129. Financial Modeling Under Non-Gaussian Distributions
  130. Financial Modeling for Business Owners and Entrepreneurs
  131. Financial Modeling, Actuarial Valuation and Solvency in Insurance
  132. Financial Modelling
  133. Financial Modelling
  134. Financial Modelling with Forward-looking Information
  135. Financial Models and Simulation
  136. Financial Models in Production
  137. Financial Models of Insurance Solvency
  138. Financial Modernization and Regulation
  139. Financial Networks
  140. Financial Numeracy in Mathematics Education
  141. Financial Participation of Employees in the EU-27
  142. Financial Performance Measures and Value Creation: the State of the Art
  143. Financial Planning
  144. Financial Planning and Counseling Scales
  145. Financial Pricing Models in Continuous Time and Kalman Filtering
  146. Financial Privacy
  147. Financial Ratios for Executives
  148. Financial Reform in Central and Eastern Europe
  149. Financial Reform in Developing Countries
  150. Financial Reforms in Modern China
  151. Financial Regulation after the Global Recession
  152. Financial Regulation and Bank Performance
  153. Financial Regulation and Liberation
  154. Financial Regulation in the EU
  155. Financial Reporting
  156. Financial Risk Management
  157. Financial Risk Management and Climate Change Risk
  158. Financial Risk Management and Modeling
  159. Financial Risk Management for Cryptocurrencies
  160. Financial Risk Management for Islamic Banking and Finance
  161. Financial Risk Management with Bayesian Estimation of GARCH Models
  162. Financial Risk and Derivatives
  163. Financial Risk in Insurance
  164. Financial Risk: Theory, Evidence and Implications
  165. Financial Sector Development in African Countries
  166. Financial Sector Development in Ghana
  167. Financial Securities
  168. Financial Security in China
  169. Financial Services Today
  170. Financial Services in Wales 1991
  171. Financial Services in the Twenty-First Century
  172. Financial Services, Globalization and Domestic Policy Change
  173. Financial Software Engineering
  174. Financial Speculation and Fictitious Profits
  175. Financial Stability Policy in the Euro Zone
  176. Financial Stability in a Changing Environment
  177. Financial Stability in the Aftermath of the ‘Great Recession’
  178. Financial Statements
  179. Financial Statements
  180. Financial Statements-Based Bank Risk Aggregation
  181. Financial Steering
  182. Financial Strategies and Public Policies
  183. Financial Strategies for Distressed Companies
  184. Financial Strategies for the Manager
  185. Financial Strategies in Competitive Markets
  186. Financial Structure and Stability
  187. Financial Structure in Small Business
  188. Financial Structures and Monetary Policies in Southeast Asia
  189. Financial Structures and Regulation: A Comparison of Crises in the UK, USA and Italy
  190. Financial Supervision in the 21st Century
  191. Financial Supply Chain
  192. Financial Sustainability in Public Administration
  193. Financial Sustainability in US Higher Education
  194. Financial Sustainability of Pension Systems
  195. Financial Sustainability of Public Sector Entities
  196. Financial Swaps
  197. Financial System 2030
  198. Financial System Stability, Regulation, and Financial Inclusion
  199. Financial Systems, Markets and Institutional Changes
  200. Financial Technologies and DeFi