SVI: Obsahy časopisů – Financial Assets and Investing Odborný recenzovaný časopis vydávaný ESF, který se zaměřuje na finanční trhy, bankovnictví, pojištění apod.
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http://casopisy.svi.econ.muni.cz/?journal=34 cs (c) SVI ESF MU University information system self-made https://is.muni.cz/do/econ/soubory/oddeleni/svi/casopisy/fai/Financial_Assets_and_Investing-2017-1.txt Financial Assets and Investing – 2017/1 https://is.muni.cz/do/econ/soubory/oddeleni/svi/casopisy/fai/Financial_Assets_and_Investing-2017-1.txt Liběna Černohorská The Efficiency of Selected Banking Sectors in the European Union Dariusz Filip The Return Variability and Dispersion: Evidence from Mutual Funds in Post-Transition Countries Martin Svoboda, Zuzana Rakovská How Big Is the Prize Money Gap? - Analysis of Prize Money in 2016 Grand Slam Tournaments Tomáš Urbanovský The Connection between the Exchange Rate and the Balance of Payments Accounts in the Czech Republic: An Econometric Approach Mon, 12 Jun 2017 13:30:17 +0200 https://is.muni.cz/do/econ/soubory/oddeleni/svi/casopisy/fai/Financial_Assets_and_Investing-2016-3.txt Financial Assets and Investing – 2016/3 https://is.muni.cz/do/econ/soubory/oddeleni/svi/casopisy/fai/Financial_Assets_and_Investing-2016-3.txt Nikolay Markov, Viktor Dmitriev, Svetlana Maltseva, Andrey Dmitriev Application of the Nonlinear Oscillations Theory to the Study of Non-equilibrium Financial Market Rabson Magweva, Tafirei Mashamba Stock Market Development and Economic Growth: An Empirical Analysis of Zimbabwe (1989-2014) Jana Šimáková Cointegration Approach to the Estimation of the Long-Run Relations between Exchange Rates and Trade Balances in Visegrad Countries Book Reviews: Risk Capacity, 2nd Edition: Processes, Approaches and Implementation of Risks in the Context of SREP and MaRisk 6.0 Reviewed by Eric Frere Mon, 12 Jun 2017 13:29:42 +0200 https://is.muni.cz/do/econ/soubory/oddeleni/svi/casopisy/fai/Financial_Assets_and_Investing-2016-2.txt Financial Assets and Investing – 2016/2 https://is.muni.cz/do/econ/soubory/oddeleni/svi/casopisy/fai/Financial_Assets_and_Investing-2016-2.txt Michal Kuběnka Determining Accuracy of IN05 Index and its Improvement Lenka Přečková Evaluation of Bancassurance Functioning in Selected Countries of the Financial Groups Erste Group Bank and UniCredit Group Matione Sauro, Mashamba Tafirei EVA and Stock Returns: Are They Correlated? Mon, 12 Jun 2017 13:29:08 +0200 https://is.muni.cz/do/econ/soubory/oddeleni/svi/casopisy/fai/Financial_Assets_and_Investing-2016-1.txt Financial Assets and Investing – 2016/1 https://is.muni.cz/do/econ/soubory/oddeleni/svi/casopisy/fai/Financial_Assets_and_Investing-2016-1.txt Claudio Boido, Antonio Fasano Traditional and Alternative Risk: Application to Hedge Fund Returns Jaroslav Sedláček Comparison of Valuation of Financial Instruments according to the International and Czech Accounting Standards in the Context of Performance Reporting Jan Vlachý Designing and Applying a Nonparametric Option Valuation Model Mon, 12 Jun 2017 13:25:08 +0200 https://is.muni.cz/do/econ/soubory/oddeleni/svi/casopisy/fai/Financial_Assets_and_Investing-2015-3.txt Financial Assets and Investing – 2015/3 https://is.muni.cz/do/econ/soubory/oddeleni/svi/casopisy/fai/Financial_Assets_and_Investing-2015-3.txt Tomáš Krabec, Percy Venegas Fields: On the Visibility of Flows in Digital Business Lenka Přečková Evaluation of the VIG Insurance Group’s Insurance Portfolio in the Czech Republic Mon, 12 Jun 2017 13:24:18 +0200