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Advanced Search Results For "DERIVATIVE securities"

1 - 10 of 41,275 results for
 "DERIVATIVE securities"
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A Risk Feature Recognition Method of Cross-Border Financial Derivatives' Transaction Based on Fuzzy Support Vector Machine.

Publication Type:Academic Journal

Source(s):Mobile Information Systems. 6/1/2022, p1-11. 11p.

Abstract:The traditional identification methods of transaction risk characteristics mostly use the amount of profit and cost to complete the risk assessment. The conflict between the two will lead to low stability. Therefore, the identification method of transa...

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Intelligent Manufacturing of New Energy Vehicles and Financial Market Hedging Based on Soft Computing.

Publication Type:Academic Journal

Source(s):Computational Intelligence & Neuroscience. 4/4/2022, p1-10. 10p.

Abstract:Globally, the energy supply in the market is tight and the oil price fluctuates sharply. With the increasing degree of environmental pollution, both developed and developing countries pay special attention to the development of new energy, and energy c...

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Exploration of Mobile Device Behavior for Mitigating Advanced Persistent Threats (APT): A Systematic Literature Review and Conceptual Framework.

Publication Type:Academic Journal

Source(s):Sensors (Basel, Switzerland) [Sensors (Basel)] 2022 Jun 21; Vol. 22 (13). Date of Electronic Publication: 2022 Jun 21.

Abstract:During the last several years, the Internet of Things (IoT), fog computing, computer security, and cyber-attacks have all grown rapidly on a large scale. Examples of IoT include mobile devices such as tablets and smartphones. Attacks can take place tha...

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Financial Derivative Price Forecasting and Trading for Multiple Time Horizons with Deep Long Short-Term Memory Networks.

Publication Type:Academic Journal

Source(s):Scientific Programming. 2/1/2022, p1-9. 9p.

Abstract:Price forecasting and trading in the international crude oil market are important issues for investors in energy finance. In this study, we propose an alternative forecasting approach for financial derivative price multiple days ahead and simulated tra...

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Bağımsız Denetim Ücretlerini Etkileyen Faktörlere Yönelik Bir Araştırma: Şeffaflık Raporlarında Yer Alan Denetim Gelirleri Çerçevesinde BIST 100 Örneği.

Publication Type:Academic Journal

Source(s):Sosyoekonomi. Jan2022, Vol. 30 Issue 51, p365-388. 24p.

Abstract:Bu çalışma BIST (Borsa İstanbul) 100'de işlem gören işletmeler bazında bağımsız denetim ücretlerini etkileyen faktörleri ortaya koymayı amaçlamaktadır. 2013-2018 dönemine ait finansal verileri incelenen 98 şirket ve bu şirketleri denetleyen denetim fir...

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Financial modeling, risk management of energy and environmental instruments and derivatives: past, present, and future.

Publication Type:Academic Journal

Source(s):Annals of Operations Research. Jun2022, Vol. 313 Issue 1, p1-7. 7p.

Abstract:In this preface, we investigate the past, study the present, and look for the future of financial modeling, risk management of energy and environmental instruments, and derivatives based on articles selected in this special issue (SI). We also summariz...

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Systemic Risk and Collateral Adequacy: Evidence from the Futures Market.

Publication Type:Academic Journal

Source(s):Journal of Financial & Quantitative Analysis. May2022, Vol. 57 Issue 3, p1142-1173. 32p.

Abstract:Conventional collateral requirements for derivatives are conservative, but not explicitly designed to buffer systemic risk. I explore collateral adequacy against systemic risk in the Canadian futures market during the 2008 crisis. I find that conventio...

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Winners, Losers, and Regulators in a Derivatives Market Bubble.

Publication Type:Academic Journal

Source(s):Review of Financial Studies. Jan2021, Vol. 34 Issue 1, p313-350. 38p.

Abstract:We use proprietary brokerage data to study trading patterns within a well-known financial market bubble: the Chinese warrants bubble. Persistently successful investors trade very actively and exhibit characteristics of de facto market makers. Unskilled...

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Modern derivatives in Islamic perspectives in Pakistan: Shari'ah issues on current Islamic derivative practices.

Publication Type:Academic Journal

Source(s):Journal of Public Affairs (14723891). May2022, Vol. 22 Issue 2, p1-8. 8p.

Abstract:This study examines the opinions of Shari'ah intellectuals' about Islamic derivatives. This research utilizes a qualitative approach to figure out better comprehension of Shari'ah intellectuals (scholars) views regarding Islamic derivatives. Therefore,...

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A methodology for temperature option pricing in the equatorial regions.

Publication Type:Academic Journal

Source(s):Engineering Economist. Apr-Jun2022, Vol. 67 Issue 2, p96-111. 16p. 1 Diagram, 6 Charts, 3 Graphs.

Abstract:Weather derivatives are financial instruments that can be used by organizations or individuals to hedge risks associated with adverse weather conditions. Weather conditions can directly decrease profits by affecting the volume of sales or costs. This p...

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