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  1. An impact investment strategy

    Impact investing is based on using the ESG framework as a tool to evaluate firms that engage in generating positive impact. Most impact investors and...

    Kumari Juddoo, Issam Malki, ... Sheeja Sivaprasad in Review of Quantitative Finance and Accounting
    Article Open access 05 April 2023
  2. Assessment of macroprudential strategy documents: Are they ready for the challenges ahead?

    Macroprudential policy is still a relatively new policy area (“more art than science”). Unlike monetary policy, it still does not have any tested and...

    Anna Dobrzańska, Paweł Smaga in Journal of Banking Regulation
    Article 13 March 2024
  3. The cash-secured put-write strategy and the variance risk premium

    A cash-secured put-write (PUTW) strategy involves writing an at-the-money put option and setting aside enough cash to buy the underlying....

    Pratish Patel, Andrew Raquel, Savannah Chadwick in Journal of Asset Management
    Article 17 November 2023
  4. The Relationship Between Financial Knowledge, Investment Strategy and Satisfaction From Pension Schemes: Evidence From India

    This study aims to examine antecedents of the pension schemes in Indian context. The relationship between the factors underlying the perception of...

    Shallu Saini, Te**der Sharma, Satyanarayana Parayitam in Asia-Pacific Financial Markets
    Article 15 May 2023
  5. Dynamic asset allocation strategy: an economic regime approach

    This paper presents a practical investment framework for dynamic asset allocation strategies based on changes in the macro-environment. To identify...

    Min Jeong Kim, Dohyoung Kwon in Journal of Asset Management
    Article 14 November 2022
  6. Asymptotic analyses for trend-stationary pairs trading strategy in high-frequency trading

    Conventional pairs trading strategies (PTS) exploit the mean-reverting nature of stock pairs with stationary value processes. This paper elevates PTS...

    Tian-Shyr Dai, Yi-Jen Luo, ... Liang-Chih Liu in Review of Quantitative Finance and Accounting
    Article 22 May 2024
  7. IT Strategy Policy

    Learning objectives:
    Chapter 2023
  8. Global mutual fund market: the turn of the month effect and investment strategy

    Turn of the month (TOM) is a widely recognized anomaly and studied majorly in the context with equity markets. However, the global mutual fund market...

    Tirthank Shah, Narayan Baser in Journal of Asset Management
    Article 25 August 2022
  9. Risk management strategy for supply chain sustainability and resilience capability

    Supply chain sustainability-related risks that have an undesirable environmental, social and economic impact result in global supply chain...

    Neungho Han, Juneho Um in Risk Management
    Article Open access 27 January 2024
  10. Framework for open insurance strategy: insights from a European study

    While some consider open insurance to be a buzzword with more hype than substance, the underlying trend of open finance stimulates insurers to use...

    Article 02 February 2022
  11. IoT Test Plan: Strategy and Architecture Introductions

    This chapter introduces test planning with strategy for different types of IoT teams, which leads to test architectures. In many cases, the scope of...
    Jon Duncan Hagar in IoT System Testing
    Chapter 2022
  12. Digitalization Strategy

    This chapter illustrates the impact of technology on the financial markets’ organizations and indicates how the financial markets’ ecosystem will...
    Chapter 2021
  13. An Algorithmic Trading Strategy to Balance Profitability and Risk

    This chapter proposes an algorithmic trading (AT) strategy based on a newly developed investment indicator called the “Balanced Investment Indicator”...
    Guillermo Peña in Big Data in Finance
    Chapter 2022
  14. Practitioners’ perspectives on the marketing strategies in Indian banking sector: a framework for strategy formulation

    The present study analyzes the marketing philosophies followed by banking sector executives in India. Four distinct constructs of marketing practices...

    Archita Pal Choudhury, Amit Kundu, ... Arabinda Bhattacharya in Journal of Financial Services Marketing
    Article 05 March 2022
  15. Saving to Invest is the Best Strategy

    Indulge me with a confession about the time I paid $1099.00 for a sweater in September of 1988. That was a great deal of money back then; it is a...
    Chapter 2023
  16. IoT Test Planning and Strategy for Hardware and Software

    The previous chapter introduced the fundamental ideals of IoT planning, test, strategy, and architecture. Different types of IoT teams will need test...
    Jon Duncan Hagar in IoT System Testing
    Chapter 2022
  17. Banks M&A: Strategy and Valuation

    Valuing a Bank in an M&A scenario can be challenging, and several factors and points of views would need to be considered. The starting point of an...
    Alessandro Santoni, Federico Salerno in How to Value a Bank
    Chapter 2023
  18. Are International Banks Different? Evidence on Bank Performance and Strategy

    This paper provides evidence on how bank performance and strategies vary with the degree of bank internationalization using data for 113 countries...

    Ata Can Bertay, Asli Demirgüç-Kunt, Harry Huizinga in Journal of Financial Services Research
    Article 07 November 2022
  19. Methodology for Refining Concept Through Refutation in Theory of Organizational Strategy

    The general systems research has focused on complexity and provided hierarchical organization model and operation model. The research on corporate...
    Ryo Sato in Systems Research II
    Chapter 2022
  20. Feed price risk management for sheep production in Spain: a composite future cross-hedging strategy

    Extensive livestock farming is a relevant activity in Spain, and lamb production is particularly important in the Autonomous Community of...

    Ismael Pérez-Franco, Esteban Otto Thomasz, ... Agustín García-García in Risk Management
    Article 07 January 2022
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