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Finance: Theory and Practice

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FINANCIAL MARKETS

 
Issue Title
 
Vol 29, No 2 (2025) Predicting Financial Market Volatility with Modern Model and Traditional Model Abstract   PDF (Eng)   PDF (Eng)
R. G. Aldeki
 
Vol 28, No 1 (2024) Forecasting the Volatility of the Russian Stock Market in the Context of International Economic Sanctions Abstract   PDF (Rus)   PDF (Eng)
A. G. Glebova, A. A. Kovaleva
 
Vol 28, No 1 (2024) Market Reaction to COVID-19 and Policy Response Across Different Sectors: An Event Study on ASEAN Stock Market Abstract   PDF (Eng)   PDF (Eng)
D. Lesmana, R. Yudaruddin
 
Vol 28, No 1 (2024) Sustainability Indices and the Calendar Effect Abstract   PDF (Eng)   PDF (Eng)
K. Kalimuthu, S. Shaik
 
Vol 27, No 6 (2023) Treatment of Missing Market Data: Case of bond Yield Curve Estimation Abstract   PDF (Rus)   PDF (Eng)
M. S. Makushkin, V. A. Lapshin
 
Vol 27, No 6 (2023) Effect of Underwriter’s Reputation on Performance of small business IPOs Abstract   PDF (Eng)   PDF (Eng)
P. Siwach, P. R. Kumar, V. Gupta
 
Vol 23, No 3 (2019) Problems and Prospects of Development of Microfinance Organizations in the Russian Federation Abstract   PDF (Rus)   PDF (Eng)
V. A. Tsvetkov, M. N. Dudin, S. N. Saifieva
 
Vol 23, No 3 (2019) Impact of Crisis Coverage on the Financial Market of Russia Abstract   PDF (Rus)   PDF (Eng)
E. A. Fedorova, S. O. Musienko, F. Yu. Fedorov, l. V. Vinogradova
 
Vol 23, No 2 (2019) Corporate Bond Market: International Experience and Russian Practice Abstract   PDF (Rus)
I. A. Balyuk
 
Vol 22, No 4 (2018) THE IMPACT OF EXTERNAL SHOCKS ON THE RUSSIAN ECONOMY Abstract   PDF (Rus)
M. G. Tiunova
 
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