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Securities market
- Internet publishing as a forecasting tool in the crypto market. «Finance and Credit», 1(841) - 2024 January
- Digital maturity index for Russian public companies. «Finance and Credit», 12(840) - 2023 December
- Interest rate derivatives in lending to construction companies in the Russian market. «Finance and Credit», 12(840) - 2023 December
- The impact of oil price changes on the RTS index. «Finance and Credit», 6(834) - 2023 June
- An analysis of the Russian financial market basis. «Finance and Credit», 6(834) - 2023 June
- Digital premium in Russian equities’ prices. «Finance and Credit», 5(833) - 2023 May
- Technological transformation of debt securities markets and its effects. «Finance and Credit», 2(830) - 2023 February
- Adoption of digital currencies of central banks: International practices. «Finance and Credit», 1(829) - 2023 January
- Digital maturity index for Russian public companies. «Finance and Credit», 12(828) - 2022 December
- Models for building a new financial market infrastructure based on distributed technologies. «Finance and Credit», 8(824) - 2022 August
- Forecasting the risk and returns of IPOs on the Nasdaq stock exchange considering asymmetric information. «Finance and Credit», 7(823) - 2022 July
- The correlation of Russian companies’ orientation towards sustainable development in the environmental, social and economic realm with trends in stock market indices. «Finance and Credit», 7(823) - 2022 July
- Modern methods of data mining: Applicability in the securities market. «Finance and Credit», 5(821) - 2022 May
- Stock pricing factors. «Finance and Credit», 4(820) - 2022 April
- A pre-predictive analysis of trading volume in the options market. «Finance and Credit», 9(813) - 2021 September
- Russian stock market: The practice of using credit derivatives. «Finance and Credit», 6(810) - 2021 June
- Refining going-public methods. «Finance and Credit», 4(808) - 2021 April
- Development of mortgage securitization infrastructure in the Russian Federation. «Finance and Credit», 3(807) - 2021 March
- Modeling the green bond yield on bond offering. «Finance and Credit», 12(804) - 2020 December
- Russian stock market: The structure of economic factors in times of advance and recession. «Finance and Credit», 6(798) - 2020 June
- Macroeconomic determinants of earnings on shares: Evidence from Rosneft oil company. «Finance and Credit», 6(798) - 2020 June
- Building a private investor's portfolio on the stock market. «Finance and Credit», 5(797) - 2020 May
- Valuation of the Russian stock market. «Finance and Credit», 11(791) - 2019 November
- Hedge fund investment strategies: Actual practice. «Finance and Credit», 11(791) - 2019 November
- A study into distinctions of the financial market behavior through agent-based model. «Finance and Credit», 8(788) - 2019 August
- Analyzing the efficiency of the Dogs of the Dow strategy in the Russian stock market for the period from 2005 through 2018. «Finance and Credit», 7(787) - 2019 July
- Empirical properties of stock price trends in the Russian stock market. «Finance and Credit», 5(785) - 2019 May
- Economic variables impacting the corporate bonds' yield spread of the BRICS countries. «Finance and Credit», 5(785) - 2019 May
- An econometric analysis of factors affecting the stock price of Russian companies. «Finance and Credit», 4(784) - 2019 April
- Predicting the yield spread of corporate bonds in BRICS countries using artificial neural networks. «Finance and Credit», 3(783) - 2019 March
- 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
- The derivatives market of Moscow Exchange as a venue to hedge price risks of financial and commodity transactions. «Finance and Credit», 4(676) - 2016 January
- General characteristic and importance of organized securities markets in financial markets of countries with different capital models. «Finance and Credit», 46(670) - 2015 December
- Innovation of the Russian market of financial derivatives: development trends and the impact on economic stability. «Finance and Credit», 44(668) - 2015 November
- Improving the approaches to prudential supervision of trust manager activity in the securities market. «Finance and Credit», 39(663) - 2015 October
- IPO issues in the securities market in mainland China. «Finance and Credit», 32(656) - 2015 August
- Russian cities' bond issue at the end of the 20th - beginning of the 21st centuries: experience and specifics. «Finance and Credit», 31(655) - 2015 August
- Investment risk assessment using the relative range of asset price fluctuations. «Finance and Credit», 29(653) - 2015 August
- On population involvement in the investment process in the established securities market of Russia. «Finance and Credit», 19(643) - 2015 May
- Level of capitalization of the Russian bank sector and entry of banks into securities market: specifics, practical approaches. «Financial Analytics: Science and Experience», 18(204) - 2014 May
- New approach to regulation of institute of securities. «Finance and Credit», 9(585) - 2014 March
- Analysis of movement to information efficiency of stock market of Russia on basis of GARCH modeling and Kalman's filter. «Finance and Credit», 28(556) - 2013 July
- Problems of regulation of Russian stock market. «Finance and Credit», 28(556) - 2013 July
- Formation of registration and settlement infrastructure of Russian financial market: internal integration processes and place in global share architecture. «Finance and Credit», 15(543) - 2013 April
- Testing market risk, liquidity, size and higher order co-moments on the Russian stock market. «Financial Analytics: Science and Experience», 12(150) - 2013 March
- Infrastructure bonds - innovative financing instrument of public-private partnerships on transport. «Financial Analytics: Science and Experience», 11(149) - 2013 March
- Russian securities market in 2008 and 2012. «Financial Analytics: Science and Experience», 46(136) - 2012 December
- Restructuring financial traffics of investment building complex oriented on production's modernization. «Financial Analytics: Science and Experience», 41(131) - 2012 November
- About interrelation of level of region economy development and investment climate in its territory with level of development of regional securities market. «Finance and Credit», 22(502) - 2012 June
- The specific features of the Russian bond market. «Finance and Credit», 8(488) - 2012 February
- To the question about necessity of development regional securities markets. «Finance and Credit», 8(488) - 2012 February
- Features of the formation and development of corporate bond market of Russia. «Financial Analytics: Science and Experience», 7(97) - 2012 February
- Integration of depository infrastructure of stock markets of the CIS. «Financial Analytics: Science and Experience», 45(87) - 2011 December
- Classification as a tool to evaluate mortgage-backed securities. «Finance and Credit», 44(476) - 2011 November
- Conditional ICAPM: assessment of global and local risks of the russian stock market and stock markets of the BRIK countries. «Financial Analytics: Science and Experience», 40(82) - 2011 October
- Investment strategy in context of active portfolio management. «Financial Analytics: Science and Experience», 40(82) - 2011 October
- Effectiveness of the investment operations of Áank of Russia in the foreign financial markets. «Finance and Credit», 33(465) - 2011 September
- Prospects of cooperation of credit close-end funds with banks and non-kredit organizations. «Finance and Credit», 23(455) - 2011 June
- Empirical study of factors related to the IPO underpricing: evidence from the London Stock Exchange. «Finance and Credit», 11(443) - 2011 March
- Perfection regulation of bank activity on the securities market. «Financial Analytics: Science and Experience», 11(53) - 2011 March
- About efficiency of use entropic risk measures at securities portfolio forming. «Financial Analytics: Science and Experience», 11(53) - 2011 March
- The formation of the modern mechanism of asset securitisation. «Finance and Credit», 7(439) - 2011 February
- The practice of the emissive covering to deficit of the municipal budget of the urban distric. «Finance and Credit», 48(432) - 2010 December
- Issues of revealing of the manipulative transactions with russian shares. «Finance and Credit», 48(432) - 2010 December
- Initial and mid-term returns of Russian IPOs. «Finance and Credit», 45(429) - 2010 December
- Simplified momentum strategies for securities portfolio management. «Financial Analytics: Science and Experience», 12(36) - 2010 September
- Comparative analysis of the unit investment trusts portfolio structure and the micex index structure. «Finance and Credit», 35(419) - 2010 September
- Portfolio contraction based on pattern recognition. «Financial Analytics: Science and Experience», 11(35) - 2010 September
- Hedging in rail transport. «Financial Analytics: Science and Experience», 4(28) - 2010 April
- The analysis of the qualitative state the russian stock market. «Finance and Credit», 6(390) - 2010 February
- Institute of the shereholder agreement as the mechanism of the coordination of interests of investors. «Finance and Credit», 1(385) - 2010 January
- The Development of the Russian Stock Market institutional structure. «Finance and Credit», 1(385) - 2010 January
- The Russian securities market: the reasons of growth in the first half-year 2009. «Finance and Credit», 35(371) - 2009 September
- Interrelation transparency and volatility shares of the russian companies. «Finance and Credit», 25(361) – 2009 July
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