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INVESTING
- 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
- The major challenges hindering the implementation of the investment policy of commercial banks in the Russian Federation, and ways to solve them. «Finance and Credit», 3(855) - 2025 March
- Developing a trading strategy for investment portfolio construction based on leading indicators. «Finance and Credit», 1(835) - 2025 January
- Assessing the corporate governance risk impact on the borrowed capital price in investing. «Finance and Credit», 12(852) - 2024 December
- Clarification of methods for investor categorization to reduce risks and maintain the interest of mass investor in the securities market. «Finance and Credit», 12(852) - 2024 December
- Developing the components of integrated model to assess the tourism potential of the region. «Finance and Credit», 12(852) - 2024 December
- Mutual influence of prices in the world market of precious metals. «Finance and Credit», 10(850) - 2024 October
- Targeted investment programmes of the RF constituent entities: Budget allocations execution challenges and solutions. «Finance and Credit», 10(850) - 2024 October
- Modeling of top management motivation in the electronics industry using a three-objective genetic algorithm. «Finance and Credit», 10(850) - 2024 October
- New methods of investment prioritization in the development of cellular networks in Russia. «Finance and Credit», 9(849) - 2024 September
- Modeling of simultaneous investment, production and financial planning of the electronics industry's innovative development. «Finance and Credit», 9(849) - 2024 September
- Building a probabilistic economic and mathematical model of an investment project using the Monte Carlo method. «Finance and Credit», 7(847) - 2024 July
- Scenarios for the introduction of hydrogen in the global fuel and energy complex, taking into account the analysis of the economic prerequisites for the inclusion of hydrogen in the global energy balance. «Finance and Credit», 6(846) - 2024 June
- Investment attractiveness as a generalized indicator of the competitiveness of a service sector organization. «Finance and Credit», 6(846) - 2024 June
- A methodology for determining the investment attractiveness of retail real estate in global markets. «Finance and Credit», 5(845) - 2024 May
Articles
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