Browsing by JEL Classification G Financial economics

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Showing results 632 to 650 of 650 < previous 
Issue DateTitleAuthor(s)TypeAccess Type
2012Vale a pena ser “verde”?: uma aplicação com dados europeus à indústria da celulose e papelFerreira, Rui DiasMaster ThesisOpen Access
23-Nov-2022Valuation and decision-making of real estate development project based on real optionWang ShuangyongDoctoral ThesisOpen Access
9-Jul-2019Valuation of a fintech company: Lending ClubJiayu YaoMaster ThesisOpen Access
23-Nov-2018Valuation of a Portuguese company: Novabase, SGPSPedras, Catarina NunesMaster ThesisOpen Access
28-Sep-2018Valuation of financial derivatives through transmutation operator methodsKravchenko, Igor ViktorovichDoctoral ThesisOpen Access
16-Nov-2017Valuation of Ford Motor Company and a study of its industryPereira, Pedro José GasparMaster ThesisOpen Access
25-Jan-2023Valuation of Nike Inc.Freixo, Miguel CarlosMaster ThesisOpen Access
20-Dec-2021Valuation of Nike, Inc.Sousa, Diego João Gouveia deMaster ThesisRestricted Access
12-Dec-2019Valuation of Volkswagen AGGonçalves, Ricardo Emanuel MagalhãesMaster ThesisOpen Access
2015Valuation: Facebook case studyMousinho, Diogo Afonso da CostaMaster ThesisRestricted Access
2013Venture capital: Institutional environmentBarbosa, Mário FerreiraMaster ThesisRestricted Access
6-Dec-2022Volatility and spillover effects in stock markets: A multivariate GARCH approachMarques, Bernardo RodriguesMaster ThesisOpen Access
12-Nov-2018Volatility derivatives: Expected option returnsMatias, Hugo António FigueiredoMaster ThesisOpen Access
30-Sep-2019Volatility modeling based on GARCH-skewed-t-type models for Chinese stock marketFei LinMaster ThesisOpen Access
30-Jul-2021Volatility risk premium: new insights into the systematic edge in the market for option sellersSerrano, Alexandre Miguel de AntónioMaster ThesisOpen Access
27-Nov-2019Will diesel’s demise burn up oil & gas share prices? : Insights from RepsolCaldeira, Pedro Jorge Da Câmara Leme PessanhaMaster ThesisOpen Access
21-Dec-2021Will it really be different this time?: a financial crises forecasting modelMarques, David André AntunesMaster ThesisOpen Access
22-Dec-2017Working capital management: evidências para as grandes empresas europeiasPereira, Rui Nuno MendesMaster ThesisOpen Access
4-Oct-2023Zero Lower Bound: Implicações na performance bancária na União EuropeiaMarquês, Cristiana Sofia RasteiroMaster ThesisRestricted Access