Skip navigation
Home
Browse
Communities
& Collections
Browse Items by:
Issue Year
Author
Title
Keywords
Recent Submissions
FAQ
Top 10 Submissions
Top 10 SumSU Authors
Statistics
Help
Sign on
My DSpace
Receive email
updates
Edit Profile
SumDU Repository
Періодичні видання СумДУ
Financial Markets, Institutions and Risks (FMIR) [293]
Browse by
Showing results 201 to 220 of 293
Issue Year
Title
Author(s)
Type
Views
Downloads
2018
Mathematical literacy and Nigerian Stock Exchange: an exposition of financial information for Blue-chip stocks’ business decision analysis
Bello, H.S.
;
Dunari, M.H.
Article
841117114
135185175
2018
Methodical bases of the proposal evaluation of investment resources in the construction industry
Chirichenko, Y.
;
Fisunenko, N.
Article
2134474251
2083114149
2021
Microfinance Institutions: Instrumental for Promoting Financial Inclusion
Bahadur, M.
;
Bhandari, M.
Article
-1013974859
1681046281
2020
Mind Theory and the Role of Financial Decision and Process Role of Optogenetics
Njegovanović, A.
Article
3464440
2209274
2018
Model of Stress-testing of Banks’ Liquidity Risk in Ukraine
Kryklii, Olena Anatoliivna
;
Luchko, I.
Article
-1267864704
-597115833
2023
The Modeling of the Probable Behaviour of Insider Cyber Fraudsters in Banks
Yarovenko, Hanna Mykolaivna
;
Kuzior, A.
;
Raputa, A.
Article
1035
981
2022
Modeling the Impact of Shadow Financial Transactions on the Country’s Financial Potential
Tiutiunyk, Inna Volodymyrivna
;
Kozhushko, I.
Article
333255
256994
2017
Monetary and financial integration in EU: Convergence or divergence?
Sysoyeva, L.
Article
123068035
229202707
2022
The Most Common Behavioural Biases among Young Adults in Bristol, UK and Istanbul
Isik, A.
Article
731310737
-553525452
2021
Mozaic of Phylosophy and Physicis in Tourism with View to Climate
Njegovanović, A.
Article
-679523826
1505116405
2019
Multivariate Analysis of a Time Series EU ETS: Methods and Applications in Carbon Finance
Boutti, R.
;
Amri, Ad.E.
;
Rodhain, F.
Article
832681687
543605597
2022
Mutual Funds’ Performance Sensitivity to Funds’ Attributes. Case Study: Saudi Mutual Funds
Soussou, K.
;
Omri, A.
Article
54606
112840
2020
Natural Resource Rent and Financial Development Nexuses in Bangladesh: The Role of Institutional Quality
Khan, M.A.
;
Kishwar, A.
Article
-2093938423
-1055275714
2020
The New Italian Legislation on Corporate Governance and Business Crisis. The Impact of Covid – 19 on SMEs and the Recent Rules to Mitigate the Effects
Tommaso, F.D.
Article
1561406390
1132174483
2022
New Perspectives on May’s Theorem and the Median Voter Theorem
Fast, R.
Article
523473331
1729753240
2020
The Nexus between Co-production and Willingness: Business Counselling in the Microfinance Sector
Abeysekera, R.
Article
-1388611829
-1274753621
2019
Nexus Between Corporate Governance and Firm Performance in Malaysia: Supervised Machine Learning Approach
Nur-Al-Ahad, Md.
;
Syeda, N.
;
Vagavi, P.
Article
-235875501
1424793392
2017
Non-bank financial institutions activity in the context of economic growth: cross-country comparisons
Rizwan, Ch.A.
;
Semenoh, Andrii Yuriiovych
Article
383957729
-553795933
2020
The Observational Microeconomics Study of the Phenomenon of Entrepreneur Resilience and Collaborative Innovative Financial Leadership in the United States
Brown, E.
;
Kasztelnik, K.
Article
-194245902
-269830490
2022
Observational Study of Tax Compliance and Tax Evasion in Nigeria
Ogunshola, I.B.
;
Kasztelnik, K.
Article
251475
1030895
Discover
Author
4
Didenko, Iryna Viktorivna
4
Khadidja, Z.
4
Oulfarsi, S.
4
Yarovenko, Hanna Mykolaivna
4
Диденко, Ирина Викторовна
4
Діденко, Ірина Вікторівна
4
Яровенко, Ганна Миколаївна
3
Adeyinka, A.J.
3
Bello, H.S.
3
Faccia, A.
.
< previous
next >
Keywords
13
economic growth
13
корпоративне управління
12
корпоративное управление
11
економічне зростання
11
экономический рост
10
corporate governance
9
bank
8
банк
8
інвестиції
6
banking
.
next >
Year issued
45
2023
43
2020
43
2021
41
2018
41
2022
40
2017
40
2019