Aihe-ehdotuksia
- financial markets
- rahoitusmarkkinat 13
- 2041 12
- Economics 12
- Taloustiede 12
- arvopaperimarkkinat 3
- monetary policy 3
- rahapolitiikka 3
- riskit 3
- risks 3
- security market 3
- economic policy uncertainty 2
- stock market 2
- 4041 1
- 601 1
- BRICS countries 1
- BRICS-maat 1
- CDS 1
- CDS index 1
- CDS spread 1
- CIP deviations 1
- COVID-19 1
- CSAD 1
- CSSD 1
- DSE 1
- GARCH models 1
- GARCH-mallit 1
- Information Systems Science 1
- Matematiikka 1
- Mathematics 1
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1
Connectedness as measures of systemic risk in the European banking system
Julkaistu 2022Hae kokoteksti Hae kokotekstiPro gradu -
2
Impact of geopolitical tensions on industry specific CDS spreads in Europe
Julkaistu 2023Hae kokoteksti Hae kokotekstiPro gradu -
3
Stock market effects of unconventional monetary policy
Julkaistu 2023Hae kokoteksti Hae kokotekstiPro gradu -
4
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5
Monetary Policy, Time Variation of Equity Returns, and Regime Switching
Julkaistu 2022Hae kokoteksti Hae kokotekstiPro gradu -
6
The impact of media tone on dollar exchange rate volatility : GARCH applications
Julkaistu 2021Hae kokoteksti Hae kokotekstiPro gradu -
7
Financial development and innovation-led growth
Julkaistu 2020Hae kokoteksti Hae kokotekstiPro gradu -
8
CIP deviations in BRICS countries around the 2008 global financial crisis
Julkaistu 2021Hae kokoteksti Hae kokotekstiPro gradu -
9
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10
Information technology sector : stock market perspective
Julkaistu 2021Hae kokoteksti Hae kokotekstiPro gradu -
11
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12
Herding behaviour in Bangladesh stock market : a case of Dhaka stock exchange
Julkaistu 2019Hae kokoteksti Hae kokotekstiPro gradu -
13
Option pricing and uncertainties in the Black-Scholes model
Julkaistu 2019Hae kokoteksti Hae kokotekstiPro gradu -
14
Advantages and disadvantages of decentralized financial (DeFi) services
Julkaistu 2022Hae kokoteksti Hae kokotekstiPro gradu