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INVESTING
- On refuting opinions about the unconditionality of the risks of crowdinvesting (equity investing using investment platforms). «Finance and Credit», 4(868) - 2026 April
- ESG components and their impact on the financial performance of public companies in China. «Finance and Credit», 3(867) - 2026 March
- Financial and economic mechanisms for stimulating hydrogen energy in the context of the global energy transition. «Finance and Credit», 3(867) - 2026 March
- Decarbonization: Challenges and opportunities for Russia in the context of responsible investing. «Finance and Credit», 2(866) - 2026 February
- Analysis of the potential of Russian stocks and bonds as savings instruments. «Finance and Credit», 2(866) - 2026 February
- Features of assessing investment risks in domestic medical electronics considering import substitution. «Finance and Credit», 2(866) - 2026 February
- Factors of successful public offering (IPO) in conditions of geopolitical instability: Russian and international context. «Finance and Credit», 1(865) - 2026 January
- Management of investment projects at high-tech enterprises in the industrial sector of the economy. «Finance and Credit», 12(864) - 2025 December
- The essence and features of management in the healthcare system. «Finance and Credit», 12(864) - 2025 December
- Management control in the patient-centered model of private dental clinic network. «Finance and Credit», 12(864) - 2025 December
- Analysis of business investment efficiency: Factor modeling of sustainable financing. «Finance and Credit», 11(863) - 2025 November
- Methodological basis for improving management processes in medical institutions in the context of digitalization. «Finance and Credit», 11(863) - 2025 November
- Sensitivity of corporate investments to cost and availability of funding sources on mature and emerging markets. «Finance and Credit», 11(863) - 2025 November
- Analysis of the social aspect of ESG in domestic companies: Industry perspective. «Finance and Credit», 11(863) - 2025 November
- Hedge funds: The use of derivatives for corporate hedging and speculation. «Finance and Credit», 10(862) - 2025 October
- About the new registrar functionality in the stock market and its development to ensure economic growth. «Finance and Credit», 10(862) - 2025 October
- Results of identification of factors determining the state of implementation of information modeling technologies in urban planning activities. «Finance and Credit», 10(862) - 2025 October
- Formation of a system of institutional norms ensuring an approach to green construction in a megapolis. «Finance and Credit», 10(862) - 2025 October
- Approaches and algorithm for digitalization of business processes in healthcare institutions: Effective management in the context of healthcare digital transformation. «Finance and Credit», 10(862) - 2025 October
- Methods of allocating financial resources when managing technological development of small and medium-sized manufacturing enterprises. «Finance and Credit», 10(862) - 2025 October
- Identification of latent clusters of investment products based on risk factors using machine learning methods in the Russian stock market. «Finance and Credit», 9(861) - 2025 September
- Analyzing the impact of ESG strategies on the investment attractiveness of financial sector stocks. «Finance and Credit», 8(860) - 2025 August
- Developing luxury medical and health tourism in the Russian Federation as a strategic driver of national and regional economic growth. «Finance and Credit», 7(859) - 2025 July
- Robo-advisers vs human managers: Who wins?. «Finance and Credit», 7(859) - 2025 July
- Investment structure of Russia’ population under sanctions and economic instability (2022–2024). «Finance and Credit», 6(858) - 2025 June
- Success factors in project financing of house construction: Key rate and new requirements for project participants. «Finance and Credit», 6(858) - 2025 June
- The application of Value at Risk over long time horizons using machine learning methods. «Finance and Credit», 6(858) - 2025 June
- Assessing the multielasticity of risk factors for stress testing of investment products on the Russian stock market. «Finance and Credit», 5(857) - 2025 May
- Assessment of the impact of corporate governance risks on the ability to attract borrowed capital. «Finance and Credit», 4(856) - 2025 April
- Development of investment strategies in emerging markets, considering the uncertainty factors. «Finance and Credit», 3(855) - 2025 March
Articles
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