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Stock market
- 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
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