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Issue | Title | |
Vol 6, No 3 (2018) | Analysis of Cryptocurrency Risks and Methods of their Mitigation in Contemporary Market Conditions | Abstract similar documents |
E. Nadyrova | ||
"... , and formulated possible measures of the risk mitigation. For initial coin offerings projects, we formulated ..." | ||
Vol 7, No 2 (2019) | Perspective Cryptocurrency Projects Supported by China | Abstract PDF (Eng) similar documents |
N. Asadova | ||
"... In this article are discussed the most perspective cryptocurrency and blockchain projects ..." | ||
Vol 7, No 2 (2019) | Prospects and Risks of the Development of Japanese Cryptocurrency (monacoin) | Abstract PDF (Eng) similar documents |
Sh. J. Asadova | ||
"... In this article, the prospects and risks of the development of the Japanese cryptocurrencies ..." | ||
Vol 11, No 4 (2023) | Problems and Prospects of Cryptocurrency Usage in China and Cambodia | Abstract PDF (Eng) similar documents |
S. Liv, O. S. Awori, A. S. Fedyunin | ||
"... of cryptocurrency by the Chinese and Cambodian governments. This is primarily due to the fact that the risks ..." | ||
Vol 7, No 2 (2019) | Prospects for the Development of Cryptocurrency Regulation in Singapore | Abstract PDF (Eng) similar documents |
Ju. Shabatuk | ||
"... In this article are discussed the main prospects of development of cryptocurrency in Singapore ..." | ||
Vol 13, No 1 (2025) | Cryptocurrencies: Increased Anthropogenic Impact | Abstract PDF (Eng) similar documents |
E. V. Bogomolov | ||
"... The emergence of cryptocurrencies is a response of technological development to the loss of trust ..." | ||
Vol 4, No 4 (2016) | Managing the Demographic Risk of Pension Systems | Abstract similar documents |
P. Kowalczyk-Rólczyńska | ||
"... a major risk, mostly for public pension systems that finance the distribution of retirement benefits from ..." | ||
Vol 6, No 3 (2018) | Performance Analysis Based on Adequate Risk-Adjusted Measures | Abstract similar documents |
A. Melnikov, D. Vyachkileva | ||
"... on a risk-adjusted basis. If investors rely only on pure return they can be exposed to a high risk ..." | ||
Vol 4, No 1 (2016) | REVIEW OF THE BOOK OF ALEXANDER MELNIKOV “RISK ANALYSIS IN FINANCE AND INSURANCE” | similar documents |
R. Makarov | ||
Vol 6, No 1 (2018) | Country Risk in International Investment: Its’ structure and methods of estimation | Abstract similar documents |
A. Ivkin | ||
"... In this paper, the issues of country risk assessment in economic security and sustainability ..." | ||
Vol 12, No 4 (2024) | The Impact of Digital Transformation on Risk-Taking: An Empirical Study of Japanese Companies | Abstract PDF (Eng) similar documents |
Sh. M. Wagan, S. Sidra | ||
"... Goal: This paper examines the effect of digital transformation on corporate risk-taking ..." | ||
Vol 7, No 4 (2019) | The Overview of the Evaluation Methods of the Company’s Creditworthiness | Abstract PDF (Eng) similar documents |
Yu. Tumanov | ||
"... The activity of any commercial organisation is of high risk. It is often connected with the fact ..." | ||
Vol 6, No 2 (2018) | Comparative Analysis of Sovereign Credit Ratings. Statics | Abstract similar documents |
A. Ivkin | ||
"... Country risk has become a topic of major concern for the international financial community over ..." | ||
Vol 7, No 4 (2019) | Risk Management in Dual Banking Systems: Islamic Ethical and Conventional Banking | Abstract PDF (Eng) similar documents |
S. Dimov, V. Smirnov | ||
"... thought. The authors present a comparative analysis of risk management conducted in countries where ..." | ||
Vol 9, No 3 (2021) | About Some Risks Associated with Subjective Factors, and the Methodology for their Assessment | Abstract PDF (Eng) similar documents |
A. Kozlov, N. Noga | ||
"... The authors propose a methodology for assessing the risk associated with subjective factors ..." | ||
Vol 9, No 3 (2021) | On Approximate Pricing of Spread Options via Conditional Value-at-Risk | Abstract PDF (Eng) similar documents |
C. Maksimov, A. Melnikov | ||
"... It is widely accepted to use conditional value-at-risk for risk management needs and option ..." | ||
Vol 6, No 3 (2018) | Psychological Factors of Multiple Debt Repayment Strategies | Abstract similar documents |
M. Gagarina, T. Goroshnikova | ||
"... , in contrast to respondents with other strategies, demonstrate a greater propensity for risk. An Aversive ..." | ||
Vol 4, No 4 (2016) | Applying Discriminant Model to Manage Credit Risk for Consumer Loans in Vietnamese Commercial Bank | Abstract similar documents |
T. D. Nguyen, T. T. Do, B. N. Nguyen | ||
"... in the consumer credit decision making will decrease bad debts, will help to set risk based credit pricing ..." | ||
Vol 10, No 1 (2022) | Digital Quasi-Money by Payment Systems | Abstract PDF (Eng) similar documents |
I. Varyash | ||
"... currencies (cryptocurrencies) and their mutual conversion with the national digital currency at a fixed rate ..." | ||
Vol 11, No 4 (2023) | Analysis of Crude Oil Market Volatility and Macroeconomic Conditions: Empirical Evidence from Nigeria | Abstract PDF (Eng) similar documents |
N. Musa | ||
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