Search results for "Financial market"

showing 8 items of 198 documents

Determinants of current account balances

2011

rahoitusmarkkinatvaihtotaseglobal current account imbalancesepävarmuusPaneelimenetelmätheterogeneity in domestic financial marketsricardolainen ekvivalenssioptimointidynamic-optimizing approachRicardian equivalenceglobaalit vaihtotase-epätasapainotpanel data methodskansainvälinen taloustaloudellinen sääntely
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Le differenti tipologie di investimento finanziario

2017

Il vademecum "La tutela del risparmio" è realizzato nell'ambito del Programma Generale di intervento “Sicilia e consumatori: diritti e tutele” della Regione Siciliana. Il vademecum illustra le principali tipologie di investimento finanziario, con un approfondimento sugli strumenti più rischiosi come gli strumenti derivati e gli investimenti in valuta estera. Nel vademecum vengono delineati i profili essenziali della tutela del risparmio nell'ordinamento italiano, nonchè il diritto all’informazione da parte dei risparmiatori-consumatori e dei connessi obblighi informativi da parte delle banche e degli altri operatori finanziari.

risparmio sistema finanziario investimenti banca finanza mercati finanziariSettore SECS-P/11 - Economia Degli Intermediari Finanziaribanking financial system finance financial markets investments.
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economics in the mirror of the financial crisis

2011

The structure of the Chapter is as follows. In Section 2 I discuss some of the factors that may have played a role in causing the crisis and emphasise that supporters of different economic theories will assign different weights to each factor in their analyses. As a consequence, suggested economic policies are highly sensitive to the economic theory employed in evaluating the set of causes. In Section 3 I seek to defend economists from the common charge that their inability to foresee the crisis is a clear sign of the lack of scientific status of their discipline. In my view, the main liability of mainstream economics lies elsewhere, in its excessive trust on the self-equilibrating mechanis…

rival interpretations of the financial crisis orthodox and heterodox economic theories symmetry thesisLiabilityFinancial crisisFinancial marketMainstream economicsSubject (philosophy)EconomicsSign (semiotics)MainstreamInternational economicsPost-Keynesian economicsPositive economicsSettore SECS-P/01 - Economia Politica
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Percepcja kryptowalut przez młodych uczestników rynku finansowego na przykładzie Polski i Niemiec

2022

W niniejszym artykule przedstawiono wyniki badań empirycznych dotyczących percepcji kryptowalut wśród młodych uczestników rynku finansowego. Badania zostały przeprowadzone w 2019 r., przed wybuchem pandemii COVID-19, niemal równocześnie w dwóch krajach: w Polsce i w Niemczech. Celem tych badań było uchwycenie różnic w sposobie postrzegania walut krajowych, światowych walut rezerwowych oraz kryptowalut, a także różnic w poziomie zaufania do dotychczasowego systemu finansowego na świecie. Wyniki badań pokazały, że istnieją znaczne różnice w percepcji, wynikające z wielu czynników, m.in. poziomu rozwoju gospodarki, innowacyjności rynków finansowych, historycznych uwarunkowań i będącej ich poch…

rynek finansowyattitudes to moneyfinancial marketporównania międzynarodowecryptocurrenciesinternational comparisonskryptowalutypostawy wobec pieniądzaBank i Kredyt
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Sądowa kontrola kosztów usług finansowych

2019

Obowiązujące przepisy prawne dają sądom dość szerokie instrumentarium oceny stosunków umownych oraz ingerencji w te stosunki, w tym w sferze kosztów usług finansowych. Z uwagi na stopień skomplikowania stosunków umownych, każdą sprawę należy jednak rozpatrywać indywidualnie, a co za tym idzie — istotne znaczenie należy przypisać uznaniu sędziowskiemu

rynek finansowysądownictwofinancial marketjudiciaryPrzegląd Ustawodawstwa Gospodarczego
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Potku – New analysis software for heavy ion elastic recoil detection analysis

2014

Time-of-flight elastic recoil detection (ToF-ERD) analysis software has been developed. The software combines a Python-language graphical front-end with a C code computing back-end in a user-friendly way. The software uses a list of coincident time-of- flight–energy (ToF–E) events as an input. The ToF calibration can be determined with a simple graphical procedure. The graphical interface allows the user to select different elements and isotopes from a ToF–E histogram and to convert the selections to individual elemental energy and depth profiles. The resulting sample composition can be presented as relative or absolute concentrations by integrating the depth profiles over user-defined rang…

ta113Nuclear and High Energy PhysicsIon beam analysista114business.industryComputer scienceEvent (computing)Reference data (financial markets)ion beam analysisERDelastic recoil detectionComputational scienceTOF-ERDElastic recoil detectionSoftwareCoincidentHistogramgraphical open source softwarebusinessInstrumentationGraphical user interfaceNuclear Instruments and Methods in Physics Research Section B: Beam Interactions with Materials and Atoms
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How news affect the trading behavior of different categories of investors in a financial market

2015

We investigate the trading behavior of a large set of single investors trading the highly liquid Nokia stock over the period 2003-2008 with the aim of determining the relative role of endogenous and exogenous factors that may affect their behavior. As endogenous factors we consider returns and volatility, whereas the exogenous factors we use are the total daily number of news and a semantic variable based on a sentiment analysis of news. Linear regression and partial correlation analysis of data show that different categories of investors are differently correlated to these factors. Governmental and non profit organizations are weakly sensitive to news and returns or volatility, and, typica…

ta511Statistical Finance (q-fin.ST)Endogenous Factorsta114Sentiment analysisFinancial marketQuantitative Finance - Statistical FinanceNon profitFinancial marketInvestor behaviourSettore FIS/07 - Fisica Applicata(Beni Culturali Ambientali Biol.e Medicin)Heterogeneity of agentFOS: Economics and businessSettore SECS-S/06 -Metodi Mat. dell'Economia e d. Scienze Attuariali e Finanz.Linear regressionEconometricsEconomicsVolatility (finance)Explanatory powerInformation in capital marketGeneral Economics Econometrics and FinanceFinanceStock (geology)health care economics and organizationsEmpirical time series analysis
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Kriptogrāfisko valūtu ietekme uz starptautisko ekonomiku

2018

Mūsdienu pasaulē jau ir aptuveni tūkstotis dažādu kriptogrāfisko valūtu, no kurām populārākā ir bitkoins. Pieprasījums pēc šīs valūtas ir pieaudzis rekordlielā ātrumā un joprojām nav nokrities līdz tādiem skaitļiem, kādi bija pašā bitkoinu sākumā. Kriptogrāfiskās valūtas piesaista lielu uzmanību un lielākā daļa cilvēku mēģina izprast, kā tās darbojās. Pastāv daudzi viedokļi par kriptogrāfiskajām valūtām: 1. Kriptogrāfiskās valūtas noteikti mainīs pasauli. 2. Kriptogrāfiskajai valūtai piemīt burbuļa efekts un tuvākajā nākotnē tā pazudīs. 3. Kriptogrāfiskās valūtas ir jauns naudas veids, kurš sniedz dažādas priekšrocības tās lietotājiem. Gandrīz visas kriptogrāfiskās valūtas darbojās ar blokķ…

technology of blockchainEkonomikainternational financial marketcrypto-currenciesbanking systemBitcoin.
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