Content
2017, Issue 1
- 5-16 Current Stern Issues Fussing Financial Markets
by Suetin Alexander A. - 17-31 A Tentative Behavioral Approach to Real Income Targeting
by Gerasimos T. Soldatos & Erotokritos Varelas - 32-41 Price Movements in Futures and Spot Markets: Evidence from the S&P CNX Nifty Index
by Kailash Chandra Pradhan - 42-53 Share-Ownership Distribution and Extraction Rate of Petroleum in Oil Fields
by Laura Marsiliani & Xiaoyan Liu - 54-59 Assessing the Operating Efficiency for the Vietnam Microfinance Institutions and Implication for the Transmission
by Pham Hong Linh & Nguyen Thi Thu Trang - 60-69 The Asean Free Trade Agreement and Vietnam’s Trade Efficiency
by Hai, Thi Hong Nguyen & Thang, Ngoc Doan - 70-78 What Impact Do Currency Exchange Rates Have on the M&A Market in BRICS Countries?
by Kristina Bondareva
2016, Issue 4
- 5-16 Applying discriminant model to manage credit risk for consumer loans in Vietnamese commercial bank
by Nguyen Thuy Duong & Do Thi Thu Ha & Nguyen Bich Ngoc - 17-22 Lean construction and BIM: complementing each other for better project management
by Eroshkin S.Y. & Kallaur G.Y. & Papikian L.M. - 23-31 Managing the demographic risk of pension systems
by Kowalczyk-Rólczyńska Patrycja - 32-54 Restructuring the banking system: the case of Vietnam
by To Thuy Duong
2016, Issue 3
- 5-38 Vietnam - little tiger with big possibilities
by Mierzwa Zbigniew - 39-52 Impacts of monetary policy on asset markets: the case of Vietnam
by Thanh Nhan Nguyen & Hai Yen Vu & Ngoc Huong Vu - 53-67 Semi-strong form efficiency: market reaction to dividend and earnings announcements in Vietnam stock Exchange
by Tran Thi Xuan Anh & Nguyen Thanh Phuong & Pham Tien Manh - 68-90 Organizational aspects of the Internal Audit of Italian corporate groups
by Tafuro Alessandra & Costa Antonio & Fanelli Alma
2016, Issue 2
- 5-14 Economic security and economic growth in modern Russia: five key problems
by Tsvetkov Valery - 15-52 Microfinance: leverage or quagmire?
by Mierzwa Zbigniew - 53-64 The effect of capital structure and legal status on financial sustainability of MFIs in developing countries
by Ngoc Nguyen Bich - 65-82 Acquisition premiums and subsequent impairment of goodwill in 2010-2015 in oil and gas sector
by Zemskova Irina - 83-94 What is not csr: extremes of csr perception in the world of business and strategic view on it in the era of conscious capitalism
by Okorochkova Anastasia
2016, Issue 1
- 5-25 What can Uzbekistan tell us about industrial policy that we did not already know
by Popov Vladimir - 26-62 Russia: searching for friendly-oriented countries
by Mierzwa Zbigniew - 63-67 How technology drove the shale oil industry and what it means to Russia
by Franczek Art - 68-74 Under which conditions can an import substitution policy be a driver for re-industrialisation?
by Truel Jean-Louis & Pashchenko Yanina - 75-84 Bounded rationality: psychological analysis of debt behaviour
by Smurygina Anna & Gagarina Maria - 85-91 Experiences of green credit development - lessons learned to Vietnam
by Vantrang Do Thi - 92-94 Review of the book of Alexander Melnikov “risk analysis in finance and insurance”
by Makarov Roman
2015, Issue 4
- 5-11 Innovation policy in contemporary Russia and the struggle for influence between the leading groups within the establishment
by Shatilov Alexander & Seleznev Pavel - 12-21 Energy price shocks in dynamic stochastic general equilibrium: the case of Bangladesh
by Amin Sakib & Marsiliani Laura - 22-43 Validity of Fama and French model on rts index
by Ozornov Sergey - 44-63 Financial market modeling with quantum neural networks
by Gonçalves Carlos Pedro - 64-78 Analysis of long-term shareholders value drivers: evidence from UC Rusal
by Trusova Nadezhda - 79-87 Success determinants of crowdfunding projects
by Levin Fedor - 88-92 Geometry of economics: volumetric distribution analysis of economic continuity and stability
by Kuntsevich Ilya
2015, Issue 3
- 5-31 An empirical analysis of the Russian Financial markets’ liquidity and returns
by Lebedeva Karina - 32-38 The routes to chaos in the bitcoins market
by Siddiqi Hammad - 39-48 Exchange rate modeling: the case of ruble
by Kuzmin Anton - 49-56 World Islamic banking: growth and challenges ahead
by Mahmud Ahmad Shakib - 57-64 Internal control, peculiarities of application of the requirements of the Sarbanes-Oxley Act and coso model
by Tofeluk Ekaterina
2015, Issue 2
- 7-14 Using intrinsic time in portfolio optimization
by Vasilyev Boris - 15-20 Is there a dividend month premium? Evidence from Japan
by Ta Cong - 21-32 Analysis of investors’ strategies using backtesting and dea model
by Nasretdinova Dina & Milovidova Darya & Michailova Kristina - 33-45 Using Elliott wave Theory predictions as inputs in equilibrium portfolio models with views
by Batyrbekova Nurlana - 46-51 Some stylized facts about analyst errors
by Karapaev Oleg - 52-57 Productivity spillovers from foreign direct investment in Vietnam
by Le Thu Trang - 58-66 Exchange rate management in Vietnam for sustaining stable and long-term economic growth
by Hai An Nguyen - 67-68 Infographics: patterns of information flows sharing and volatility spillovers
by Barmin Valery
2015, Issue 1
- 5-33 Political economy of Olympic Games
by Nureev Rustem & Markin Evgeny - 34-56 The phenomenon of national Development Bank: theoretical foundation and effectiveness
by Selyavina Elizaveta - 57-66 Monetary policy in Russia: recent challenges and changes in unstable economic conditions
by Giblova Natalia - 67-79 Market concentration and competition in Vietnamese banking sector
by Trung Le Hai - 80-88 Remittances and economic growth in Vietnam: an ARDL bounds testing approach
by Tung Dang - 89-98 Corporate insurance in the Russian electric power industry
by Kirillova Nadezda & Bazhenova Victoria
2014, Issue 4
- 5-17 Post reunification economic fluctuations in Germany: a real business cycle interpretation
by Flor Michael - 18-50 The informal economy and the constraints that it imposes on pension contributions in Latin America
by Cárdenas David - 51-61 Study of informational requirements to identify reputational risks
by Iznova Taisiya - 62-70 Stakeholder approach to identification and analysis of value creation drivers
by Efimova Olga & Samohina Veronica - 71-79 National Intellectual capital (nic) new metrics
by Wisniewski Piotr & Wildowicz-giegiel Anna - 80-86 Key insurers indicators in the reports of insurance companies: Russian and Italian experience
by Kirillova Nadezda & Bellucci Andrea - 87-98 Default risk and its effect for a bond required yield and volatility
by Zhukov Pavel
2014, Issue 3
- 5-19 Behavioral biases in capital budgeting: an experimental study of the effects on escalation of commitment given different capital budgeting methods
by Gnutek Dennis - 20-45 Moscow energy strategy in the framework of the Russian energy strategy
by Tidzhiev Dmitry - 46-54 Investing in war: empirical evidence of investors’ unsustainable behavior in times of armed conflict
by Safarova Esmira - 55-74 Productivity spillovers in the Russian Federation: the case of the chemical market
by Kuzyaeva Anastasia & Didenko Alexander - 75-85 Innovations as factor of absorptive capacity of fdi spillovers across regions of Russian Federation
by Didenko Alexander & Egorova Tatiana - 86-92 A structural model of exchange rate dynamics
by Kuzmin Anton - 93-104 Prioritization of Russian regions for sustainable investing purposes using data envelopment analysis
by Arkhipova Anastasia
2014, Issue 2
- 5-27 Effect of income on political preferences of Russian voters
by Nureev Rustem & Shulgin Sergey - 28-41 The lessons from the insistence of the U. S. A. In nuclear energy policy
by Kung Wen-hsiang - 42-50 Recent Development of new energy policy and legislation in Taiwan, with the focus on promotion of biofuel
by Tsai Yueh-hsun - 51-57 Priority issues for boosting smart gridsmart customers in Taiwan
by Sun Wen-ling - 58-65 “social Impact Bonds”: implications for government and non-profit organizations
by Costa Antonio & Leoci Paolo & Tafuro Alessandra - 66-74 Social media’s role in intellectual capital’s growth
by Falkowski Michal - 75-80 The need to design a quality system for Macedonian textile companies
by Mitreva Elizabeta & Taskov Nako
2014, Issue 1
- 5-20 A multi-modality approach to examine reward satisfaction amongst mid-level managers
by Favotto Alvise & Kominis Georgios & Emmanuel Clive R. - 21-38 Time-varying term structure of risk premium, estimated with credit default swaps
by Kostyuk Victoria - 38-48 Do workers’ remittances induce inflation?the case of Vietnam, 1996-2012
by Hung To Ngoc & Minh Nguyen - 49-59 Integrated Performance Management strategy, risk and sustainability Management
by Lux Wilfried - 60-73 Carbon dioxide emissions from Indian manufacturing industries: role of energy and technology intensity
by Sahu Santosh Kumar & Narayanan K. - 74-87 A principle of equitable access to sustainable development internalizing externalities in the global climate talks
by Hernandez Ariel - 88-99 Using simulation models for green economy policy making: a comparative assessment
by Bassi Andrea - 100-110 Design and economics of a hybrid desalination system applied to an offshore platform
by Nikitakos Nikitas & Stefanakou Afrokomi-afroula
2013, Issue 1
- 5-18 Multicriterial assessment of resand energy-efficiency promoting policy mixes for Russian Federation
by Didenko Alexander - 19-31 Study of government policies for promotion of green technology in the framework of real business cycle model
by Stepanova Elena - 32-43 Sustainable development reporting: international and Russian experience
by Efimova Olga & Batyrova Nadezda - 44-54 Real options model of Res policies benefits in Russian Federation
by Zelentsov Denis & Lukashenko Inna & Akhmetchina Alexandra - 55-66 Greenhouse gas emission scenarios for Russia and rest of the world
by Kokorin Alexey & Gordeev Dmitry - 67-77 Ways to maintain sustainable system of managing reputational risks within suppliers relations
by Iznova Taisiya & Efimova Olga - 78-88 Impact investment as a new investment class
by Falkowski Michał & Wiśniewski Piotr - 89-99 Cycle-Adjusted Capital market expectations under Black-Litterman framework in Global tactical asset allocation
by Mikaelian Anna - 100-110 Application of Ensemble Learning for views generation in Meucci portfolio optimization framework
by Didenko Alexander & Demicheva Svetlana