14,921 results on '"capital markets"'
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2. Assessing the financial impacts of significant wildfires on US capital markets: sectoral analysis.
3. Trends and Challenges after the Impact of COVID-19 and the Energy Crisis on Financial Markets.
4. Empirical Analysis of Demand for Sukuk in Uzbekistan.
5. The Role of Capital Markets for Small and Medium-Sized Enterprise (SME) Finance.
6. An analysis of stockbroking frauds and regulatory action in India.
7. Discrimination and Access to Capital: Experimental Evidence from Ethiopia
8. Information Support for Financial Communication of Economic Recovery
9. US Model
10. A Look on Sustainable Human Development, Gender Gap and Welfare: Evidence from Capital Markets
11. Exploring the Shades of Green Premium: A Matching Approach
12. The 2020 COVID-19 Financial Crisis Impact on the European Stock Markets and Economies. A Preliminary Analysis
13. The Influence of the Capital Market (Financial Instruments) on Economic Growth in Kazakhstan and CIS Countries
14. Debt issuance will be strong in the Gulf states
15. Raising world renminbi use meets China’s internal aims
16. IPO activity in the Gulf states will remain robust
17. US Fed will look beyond market chaos and volatility
18. Further interest rate cuts are likely in China
19. Central bank digital currencies diverge and progress
20. Relative Performance Evaluation and Strategic Peer‐Harming Disclosures.
21. The Impact of Carbon Neutrality Pledges on Indian Companies' Stock Performance.
22. ЗАГАЛЬНІ ПОЛОЖЕННЯ ПРО ЦІННІ ПАПЕРИ В ЗАКОНОДАВСТВІ УКРАЇНИ ПРО РИНКИ КАПІТАЛУ (ПРОГРЕСИВНІ НОВОВВЕДЕННЯ ТА ПЕРСПЕКТИВИ УДОСКОНАЛЕННЯ)
23. PRICING OF CLIMATE RISKS IN THE CAPITAL MARKET OF SOUTH AFRICA.
24. The Information Content of Stock Splits: In the Context of Stock Splits Concurrently Announced with Earnings.
25. Analyzing Trends in Green Financial Instrument Issuance for Climate Finance in Capital Markets.
26. The moderating effect of financial constraints on the relationship between stock price crash risk and managerial ability
27. Undisclosed Material Inflation Risk
28. Proposal of an innovative MCDA evaluation methodology: knowledge discovery through rank reversal, standard deviation, and relationship with stock return
29. UK financial solidity risks linger despite bank health
30. Market confidence in India will remain robust
31. Social media will alter the retail investing landscape
32. Central bank cooperation will be key to AI readiness
33. Energy funding needs rise as investment options fall
34. Stock market rally has firm foundations but also risks
35. Commodities M&A will rise, led by the United States
36. Middle East IPO activity should increase in 2024
37. EU and UK rules on financial trading will diverge
38. Asia ‘ex-China’ investment will struggle for traction
39. Delay on stock trading system is awkward for Vietnam
40. BHP/Anglo-American offer signals more mining M&A ahead
41. Commercial property downturn has not bottomed out yet
42. Ethiopia faces tough negotiations around IMF programme
43. Zambia edges towards a resolution of its debt crisis
44. EU/UK financial trading risks need close monitoring
45. Weak euro-area bank lending will persist into 2025
46. CONCEPTUAL ASPECTS OF RECENT DEVELOPMENTS AND PERSPECTIVES IN FINANCIAL MARKETS.
47. The Influence of Airbnb Announcements on North American Capital Markets: Insights for Stakeholders.
48. Ordinary capabilities and firm performance: The role of capital market development.
49. An Alternative Sensitivity Analysis for the Evaluation of MCDA Applications: The Significance of Brand Value in the Comparative Financial Performance Analysis of BIST High-End Companies.
50. Supranational detectives? Transnational market abuse and the politics of surveillance delegation in the EU.
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