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Stock market
- Innovative solutions to classical problems of trade in the stock market. «Finance and Credit», 6(630) - 2015 February
- Integration processes in the exchange environment: problems and development prospects. «Finance and Credit», 44(620) - 2014 November
- Study of the dynamics of trading shares and depository receipts of Russian oil and gas companies. «Finance and Credit», 43(619) - 2014 November
- Investment analysis: anomaly of the modern stock market. «Finance and Credit», 43(619) - 2014 November
- The economic essence and classification of sub-federal bonds. «Financial Analytics: Science and Experience», 39(225) - 2014 October
- The efficiency of applying MICEX and RTS indices in the correlation analysis with foreign indices under the Pearson method. «Finance and Credit», 37(613) - 2014 October
- RTS and MICEX merger: evaluation of the effectiveness of institutional and structural changes. «Financial Analytics: Science and Experience», 35(221) - 2014 September
- Investor's operations and the analysis of brokerage account. «Financial Analytics: Science and Experience», 32(218) - 2014 August
- Allocation of financial cluster in Moscow to improve competitiveness of the Russian stock market. «Finance and Credit», 29(605) - 2014 August
- Problems of the credit quality assessment of issuers of bonds. «Finance and Credit», 28(604) - 2014 July
- Methods for financial assets selection to form an investment portfolio. «Finance and Credit», 24(600) - 2014 June
- Using of benchmarking approach for analysis of pension savings investment quality in Russia. «Financial Analytics: Science and Experience», 24(210) - 2014 June
- Pricing variables of bank capital: a cross-country analysis of its significance and leverage. «Financial Analytics: Science and Experience», 23(209) - 2014 June
- S&P 500: a new bubble?. «Financial Analytics: Science and Experience», 22(208) - 2014 June
- Oil price impact on Russian financial market during the crisis. «Finance and Credit», 20(596) - 2014 May
- Theories of dividend policy and their development (the Russian market case study). «Finance and Credit», 19(595) - 2014 May
- Research of P/E multiplier as a movement indicator of capital in stock market. «Finance and Credit», 18(594) - 2014 May
- Recommendations on development of index investment in the Russian securities market. «Financial Analytics: Science and Experience», 17(203) - 2014 May
- Actual problems of reforming of public regulation of securities market of the Russian Federation. «Finance and Credit», 16(592) - 2014 April
- Analysis of activity of share fund by means of complex indicator of fund efficiency. «Finance and Credit», 11(587) - 2014 March
- Tendencies of development of the bond market of Germany and Russia. «Finance and Credit», 11(587) - 2014 March
- Impact of interest rates on the behavior of the stock markets of the BRIC countries. «Financial Analytics: Science and Experience», 11(197) - 2014 March
- Russian issuers: challenges emerging market. «Finance and Credit», 10(586) - 2014 March
- Formation of the optimum portfolio of securities. «Financial Analytics: Science and Experience», 10(196) - 2014 March
- Advantages and shortcomings of classical index investment in the equity market. «Financial Analytics: Science and Experience», 8(194) - 2014 February
- Practice of estimation of cost of business at an exit to IPO. «Finance and Credit», 2(578) - 2014 January
- Development of infrastructure of securities market of the Republic of Kazakhstan. «Financial Analytics: Science and Experience», 2(188) - 2014 January
- Influence of price of oil on stock markets of the countries of BRICS. «Finance and Credit», 46(574) - 2013 December
- Development and application of Holt indicator to identify linear changes in character of price series in stock market. «Finance and Credit», 44(572) - 2013 November
- Bonded loans as alternative funding mechanism for deficiency of regional budgets. «Finance and Credit», 42(570) - 2013 November
- Classification stock market indices are calculated on Russian securities market. «Financial Analytics: Science and Experience», 39(177) - 2013 October
- Features and tendencies of Russian securities market in conditions of strengthening of globalization processes. «Financial Analytics: Science and Experience», 39(177) - 2013 October
- Empirical analysis of impact of dynamics of national stock market and other economic factors on economic growth. «Financial Analytics: Science and Experience», 38(176) - 2013 October
- Formation of optimum portfolio at set level of profitability by means of Lagrange function. «Finance and Credit», 37(565) - 2013 October
- Choice «surplus» as limiting factor of development of collective investments market. «Finance and Credit», 37(565) - 2013 October
- Investment strategies of commercial banks on bonds market. «Financial Analytics: Science and Experience», 37(175) - 2013 October
- Optimization of portfolio of financial instruments. «Finance and Credit», 36(564) - 2013 September
- Improvement of efficiency assessment of trust management in development of financial market. «Financial Analytics: Science and Experience», 35(173) - 2013 September
- Financial integration, openness and involvement of the Russian stock market in the global securities market. «Finance and Credit», 34(562) - 2013 September
- The estimating of financial integration of stock markets: methodological approaches and indicators. «Finance and Credit», 33(561) - 2013 September
- Role of joint-stock companies with state participation in development of Russian stock market. «Financial Analytics: Science and Experience», 30(168) - 2013 August
- Role of stock market in attraction of means in military and technical complex and intellectual productions. «Finance and Credit», 26(554) - 2013 July
- Formation of company emission strategy on basis of allocation of key indicators of efficiency. «Finance and Credit», 22(550) - 2013 June
- Assessment of risk according to fractal market hypothesis. «Finance and Credit», 22(550) - 2013 June
- Russian institutional investors in national stock market. «Financial Analytics: Science and Experience», 20(158) - 2013 May
- Defining the role and places of commercial banks on securities market. «Financial Analytics: Science and Experience», 19(157) - 2013 May
- Algorithmic trading influence on trading systems of Russian stock market in post crisis period. «Finance and Credit», 17(545) - 2013 May
- Forecasting of stock market of the Russian Federation by means of GARCH modeling. «Financial Analytics: Science and Experience», 16(154) - 2013 April
- Determinants of yields of ruble corporate bonds during their placement. «Finance and Credit», 16(544) - 2013 April
- Financial integration of the Russian stock market into global securities market. «Financial Analytics: Science and Experience», 14(152) - 2013 April
- To issue of Russian derivatives market`s development. «Finance and Credit», 14(542) - 2013 April
- Creation of the National Center for Securities Market Development in Kyrgyzstan: the choice of model, tasks, and emergency measures. «Finance and Credit», 12(540) - 2013 March
- Dividend policy and major shareholders' interest. «Financial Analytics: Science and Experience», 12(150) - 2013 March
- Portfolio management, based on fundamental analysis of stock market. «Finance and Credit», 8(536) - 2013 February
- Selection criteria for the effectiveness of investments in mutual funds. «Finance and Credit», 7(535) - 2013 February
- Factors of China stock market crisis. «Financial Analytics: Science and Experience», 7(145) - 2013 February
- Concept of "bond financing" and its place in scheme of economic entities. «Finance and Credit», 5(533) - 2013 February
- Empirical analysis of asset pricing models in the Russian stock market. «Financial Analytics: Science and Experience», 5(143) - 2013 February
- Use of comparative and income approaches to fundamental analysis in predicting stock market. «Finance and Credit», 4(532) - 2013 January
- Main of regulation Russian corporate bond market. «Financial Analytics: Science and Experience», 4(142) - 2013 January
- The issue of bond classifications. «Finance and Credit», 48(528) - 2012 December
- Use of multifactor models for estimation mutual fund's performance. «Financial Analytics: Science and Experience», 47(137) - 2012 December
- Analysis of problems pricing exchange products in the B2B sector (on example of the fat industry). «Financial Analytics: Science and Experience», 45(135) - 2012 December
- Compare models and CAPM Famy-Frencha on stock market. «Finance and Credit», 42(522) - 2012 November
- Interrelation of system of factors of national level and dynamics of the Russian stock market. «Finance and Credit», 37(517) - 2012 October
- Risks of bond financing. «Financial Analytics: Science and Experience», 36(126) - 2012 September
- Hedging financial risks by Russian companies in derivative financial instruments, which are the basis of commodity assets. «Financial Analytics: Science and Experience», 33(123) - 2012 September
- Some features of initial public offerings of shares in Russian conditions. «Finance and Credit», 30(510) - 2012 August
- Alternative theories of portfolio. «Finance and Credit», 29(509) - 2012 August
- Principles and features of bonded financing of the Russian managing subjects. «Financial Analytics: Science and Experience», 27(117) - 2012 July
- Optional model for rate of prepayment of mortgage-backed securities of American type. «Finance and Credit», 26(506) - 2012 July
- Main directions of improving the regulation of securities market. «Finance and Credit», 26(506) - 2012 July
- Main directions of improvement of regulation on securities market. «Finance and Credit», 25(505) - 2012 July
- Interrelation of the markets of capital with economic development of the Republic of Kazakhstan. «Financial Analytics: Science and Experience», 24(114) - 2012 June
- The problems of attracting long-term investor in the stock market in Russia. «Finance and Credit», 14(494) - 2012 April
- Assessment of investment qualities of securities of joint-stock companies in the conditions of financial crisis. «Financial Analytics: Science and Experience», 13(103) - 2012 April
- Forecast of a crisis state in stock market of the Russian Federation using Markov's model. «Finance and Credit», 13(493) - 2012 April
- Impact of globalization on the development of the national securities market within the framework of the «open» and «national» models of the securities market. «Finance and Credit», 11(491) - 2012 March
- Financial integration of stock markets: particularly in developing countries. «Finance and Credit», 10(490) - 2012 March
- Russian exchange bond market: a place in the global hierarchy. «Finance and Credit», 5(485) - 2012 February
- Application of synthetic straddle for control of the fund risk. «Finance and Credit», 48(480) - 2011 December
- Current state and development prospects of the Russian market of the stock exchange bonds. «Financial Analytics: Science and Experience», 47(89) - 2011 December
- The investigation of investor’s structure in Russian stock market. «Financial Analytics: Science and Experience», 46(88) - 2011 December
- The trends of the Russian stock market in the crisis and post crisis period and their influence on trading systems evolution. «Finance and Credit», 46(478) - 2011 December
- Business valuation. «Financial Analytics: Science and Experience», 38(80) - 2011 October
- Volatility modeling of the stock market during the crisis. «Financial Analytics: Science and Experience», 37(79) - 2011 October
- The Russian corporate bond market: a comparative analysis of the main stages of development. «Finance and Credit», 35(467) - 2011 September
- The use of derivatives in the financing companies. «Finance and Credit», 31(463) - 2011 August
- Asset-based securitization as a new financing facility for non-financial sector’s companies. «Finance and Credit», 30(462) - 2011 August
- On stability of algorithmic trading system. «Financial Analytics: Science and Experience», 29(71) - 2011 August
- The market of derivative securities: techniques of work with futures contracts and listed options. «Finance and Credit», 28(460) - 2011 July
- Bonds with traditional investment characteristics: immunization theorem or estimating of zero-coupon curve problem. «Finance and Credit», 24(456) - 2011 June
- Using world practice of default probability estimation on Russian bills market. «Finance and Credit», 22(454) - 2011 June
- Regional securities markets in Russia: features and development factors. «Finance and Credit», 22(454) - 2011 June
- Role of a securities market in maintenance of effective development of a regional financial system. «Finance and Credit», 22(454) - 2011 June
- Financial integration of stock markets of the BRIC countries: an econometric analysis. «Finance and Credit», 18(450) - 2011 May
- Method of calculation of optimum portfolios with global and local restrictions on size of risk on the basis of genetic algorithms. «Finance and Credit», 18(450) - 2011 May
- Market derivatives regulation at the present stage of development of the world financial system. «Finance and Credit», 17(449) - 2011 May
- Development estimation sukuk in the world as the tools of financing and possibility of their use in the Russian practice. «Finance and Credit», 16(448) - 2011 April
- Monitoring the results of the rotation of securities of municipal formation according to the specific-program indices of its activity. «Finance and Credit», 12(444) - 2011 March
- Corporate dividend policy management matrix. «Finance and Credit», 10(442) - 2011 March
- Securitisation deals qualification - the way to improve efficiency. «Finance and Credit», 8(440) - 2011 February
- Securities market as a source of economic growth - the state policy in the context of globalisation. «Finance and Credit», 8(440) - 2011 February
- Conception and toolkit of the universal punctual approach to effective securities portfolio formation. «Finance and Credit», 8(440) - 2011 February
- Development of methodology of portfolio construction in equity market. «Finance and Credit», 44(428) - 2010 November
- Conflict of interest involving international credit rating agencies as the starting point in the development of their activities regulation. «Finance and Credit», 43(427) - 2010 November
- State papers as the tool of the development of the russian economy. «Finance and Credit», 42(426) - 2010 November
- RF stock market problems in the financial crisis situation. «Finance and Credit», 16(400) - 2010 April
- On measures to ensure the development of the stock market, the confidence of investors. «Financial Analytics: Science and Experience», 9(21) - 2009 September
- Diversification and portfolio approach to management of the sovereign bonds market. «Finance and Credit», 22(358) – 2009 June
- Stock market: the new development vector. «Finance and Credit», 22(358) – 2009 June
- Risks of investing the funds from mandatory pension savings and their management methods. «Finance and Credit», 20(356) – 2009 May
- Methodological background of the portfolio interval theory. «Finance and Credit», 20(356) – 2009 May
- Influence of decisions about funding on profitability of common stocks. «Finance and Credit», 19(355) – 2009 May
- Asymmetry of assessment of the assets’ true value under the indefinite rent model. «Finance and Credit», 19(355) – 2009 May
- The problem of development of the stock market in Russia. «Financial Analytics: Science and Experience», 8(20) – 2009 August
- Stock market services as a type of financial services. «Finance and Credit», 4(340) – 2009 January
- Russian stock market crisis: fundamental prerequisites and effects. «Finance and Credit», 3(339) – 2009 January
- Prospects and tasks of development of the Russian market of standard contracts for security assets in the context of global tendencies. «Finance and Credit», 1(337) – 2009 January
- The notion and classification of credit derivatives. «Finance and Credit», 1(337) – 2009 January
- The problem of non-fulfillment of transactions in the financial market. «Financial Analytics: Science and Experience», 5(17) – 2009 May
- New participants of financial markets – sovereign funds. «Financial Analytics: Science and Experience», 4(16) – 2009 April
- Rhythms of financial markets and indicator of sentiments: analysis of diurnal data under separate instruments. «Financial Analytics: Science and Experience», 3(15) – 2009 March
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