Просмотр собрания по группе - Авторы Okulov, Vitaly L.

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2012An Experiment on Decision Making under Risk and UncertaintyArchavski, Victor Yu.; Okulov, Vitaly L.
2011Analysis of efficiency of the Russian stock marketPetrov, Igor; Петров, И.
2014Analysis of mergers and acquisitions deals with the use of earnoutsLuchinina, Alina A.
дек-2022Assessment of the feasibility of establishing financial slack in a company: The model and its empirical verificationBerezinets, Irina V.; Nikulin, Egor D.; Okulov, Vitaly L.
2013Behavioral Financial Aspects of Inventory Management: Dynamics and CompetitionSmirnova, Alena V.; Смирнова, А. В.
2006Capital asset pricing models and Russian stock market. Part 1. CAMP Empirical TestingBukhvalov, Alexander V.; Okulov, Vitaly L.
2006Capital asset pricing models and Russian stock market. Part 2. Modified CAMP applicabilityBukhvalov, Alexander V.; Okulov, Vitaly L.
июн-2017Company’s investment decision under uncertainty: Risk management approachOkulov, Vitaly L.
2013Determinants of cross-border M&A success in the Russian banking sectorKornilova, Regina; Корнилова, Р.
2012Empirical study of CAPM variations on the Russian stock marketKotkov, Alexey
июн-2018Features of the Project and Risk Premium in Investment Decision MakingOkulov, Vitaly L.; Khafizova, Karina R.
1-сен-2020Game-theoretic modeling of market participants' behavior: case of Russian Adjustable-Rate Bonds with PutsOkulov, Vitaly L.; Zhilina, Polina S.
2013Post-merger stock performance of acquiring companies: the evidence from the Russian marketIsakova, Nataliya; Исакова, Н.
2014Study of Russian Corporate Bonds Market MicrostructureLebedev, Dmitry Yu.
2010The Value of Corporate Hedging and Market ExpectationsOkulov, Vitaly L.