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Securities market
- Securities portfolio selection using the risk margin. «Finance and Credit», 12(780) - 2018 December
- The influence of seasonality in the primary market of corporate bonds of the BRICS nations. «Finance and Credit», 11(779) - 2018 November
- Analyzing the influence of different economic variables on the yield spread of ruble-denominated corporate bonds. «Finance and Credit», 7(775) - 2018 July
- Evolution of the Russian securities market. «Finance and Credit», 4(772) - 2018 April
- The Russian stock market: Problems and the development prospects. «Finance and Credit», 3(771) - 2018 March
- Calendar anomalies in the Russian stock market: Trends of the recent decade. «Finance and Credit», 3(771) - 2018 March
- Simple calendar-spread trade with gold futures contracts. «Finance and Credit», 1(769) - 2018 January
- Oil market pricing and the impact on stock market. «Finance and Credit», 1(769) - 2018 January
- Methods for mortgage portfolio refinancing cost reduction under mortgage securitization: The case of Russian originators. «Finance and Credit», 47(767) - 2017 December
- The concept and characteristics of price trend identification in the stock market. «Finance and Credit», 44(764) - 2017 November
- Forecasting the financial market and its impact on the industry development. «Finance and Credit», 43(763) - 2017 November
- Analysis of the adaptive development of the Russian securities market. «Finance and Credit», 37(757) - 2017 October
- Regulation of electronic trading systems: The implementation of Hong Kong and Singapore experience in the Russian stock market. «Finance and Credit», 37(757) - 2017 October
- On some regularities of adaptive development of modern securities markets. «Finance and Credit», 34(754) - 2017 September
- Return and risk of swing trading. «Finance and Credit», 27(747) - 2017 July
- Risk factors of Russian mortgage-backed securities. «Finance and Credit», 26(746) - 2017 July
- Investigating the mechanism of securities market adaptation to environmental effects. «Finance and Credit», 25(745) - 2017 July
- Determinants of systematic risk: Evidence from the Russian stock market. «Finance and Credit», 23(743) - 2017 June
- The impact of algorithmic trading on sustainable development of world stock markets. «Finance and Credit», 20(740) - 2017 May
- Analysis of causal relationships between oil price movements and RTS index. «Finance and Credit», 17(737) - 2017 May
- Developing the algorithmic trading in global financial markets: Causes, tendencies and perspectives. «Finance and Credit», 9(729) - 2017 March
- Analysis of the influence of macroeconomic and industrial factors on companies' stock price. «Finance and Credit», 44(716) - 2016 November
- Applying the GAS copula models to optimize the investment portfolio of shares of Russian companies. «Finance and Credit», 32(704) - 2016 August
- Certain aspects of securities market development as a complex adaptive system. «Finance and Credit», 31(703) - 2016 August
- Short-term forecasting of stock market bubbles: Evidence from the U.S. economy. «Finance and Credit», 21(693) - 2016 June
- State-of-the-art and prospects for financial markets’ integration of certain countries of the CIS and Russia. «Finance and Credit», 18(690) - 2016 May
- Financial bubbles process modeling in the Russian stock market process. «Finance and Credit», 15(687) - 2016 April
- Regulating the activity of trade organizers in the securities market. «Finance and Credit», 12(684) - 2016 March
- The impact of analysts' recommendations on stock prices in Russia. «Finance and Credit», 11(683) - 2016 March
- Exchange traded funds (ETF): specific features of the instrument and the development prospects in the Russian securities market. «Finance and Credit», 7(679) - 2016 February
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