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79.978  Articles
1 of 7.999 pages  |  10  records  |  more records»
The work seeks to analyse Mexico’s recent exchange-rate crisis in relation to the debate on financial modernisation and external financial fragility. The author reviews some key features of Mexico’s 1988-1994 economic recovery before analysing some aspect... see more

Different prediction models are explored to analyze the performance of the Mexican Stock Exchange (PQI) after the 2008 crisis. These models have demonstrated a good prognostic capacity for both multivariable and univariable approaches given their non-para... see more

In 1997 Indonesia was hit by a severe financial crisis which led to the change of almost everything in the country, including the exchange rate regime; from managed floating to free floating or flexible exchange rate. It has been a major conclusion from a... see more

This research paper presents statistical comparisons between two methods that are commonly used to estimate option implied Risk-Neutral Densities (RND). These are: 1) mixture of lognormals (MXL); and, 2) volatility function technique (VFT). The former is ... see more

The Covid-19 pandemic has caused a social and economic crisis in every country, leading to economic shocks that can be observed through the movement of the Composite Stock Price Index (CSPI) and Exchange Rate (ER). To determine the economic conditions of ... see more

We develop an endogenous growth model with three goods, exportable, importableand non-tradable. We study the response of the real exchange rate and ofthe economy growth rate to a decrease in the tariff rate. We show that tradeliberalization must be follow... see more

The article aims to analyze the behavior of the solvency rates of companies with monetary mismatches of the industrial sector of the Mexican Stock Exchange (BMV) during the exchange variations of 2007-2017. Six financial multiples were used to measure sol... see more

Japan joined the IMF in August 1952 (under Article 14) and GATT (the General Agreement on Tariffs and Trade) in 1955. Japan's ‘high growth era’, the period from 1955 to the outbreak of the first oil crisis in 1973-74, coincided with the liberal internatio... see more

The article aims to analyze the behavior of the solvency rates of companies with monetary mismatches of the industrial sector of the Mexican Stock Exchange (BMV) during the exchange variations of 2007-2017. Six financial multiples were used to measure sol... see more

1 of 7.999 pages  |  10  records  |  more records»