Archive        Archive for 2015          9-10 / 2015
THEORY

MINIMIZING INVESTMENT RISK THROUGH DIVERSIFICATION OF SECURITIES PORTFOLIO

Neskorodeva Inna

METHODOLOGY MODERN ECONOMICS: GENESIS, TENSIONS AND TRENDS

Kyrylenko Volodymyr

APPROACHES TO INTERPRETATION THEORY OF VALUE AND THEIR DEVELOPMENT

MACROECONOMICS

INTELLECTUAL CAPITAL IN GLoBAL ECoNoMY: METHODOLOGICAL IDENTIFICATION

     Lukianenko Olha

UNIVERSITIES IN THE KNOWLEDGE ECONOMY: TAIWAN AND UKRAINE

Ilnytskyy Denys     Khomenko Olga

FISCAL AND REGULATIVE REZULTS OF THE PROPERTY TAX INTRODUCTION IN UKRAINE

Tymchenko O.    
CORPORATE FINANCE

CORRELATION-FACTOR ANALYSIS COUNTERVAILING PACKAGES TOP MANAGERS CORPORATIONS

Burmaka Mykola
BANK OPERATIONS

THE ROLE OF FUNDS RAISEDIN SATISFYING OF BANK'S FINANCIAL STABILITY

     Bernatska Olga

INFLUENCE OF FOREIGN INVESTMENTS IS ON CAPITALIZATION OF BANKING SYSTEM OF UKRAINE

Riaby Rostislav
FINANCIAL INSTITUTIONS

THE REFORM OF THE DOMESTIC STOCK MARKET IN THE CONTEXT OF THE TRANSFORMATION OF THE ECONOMIC MODEL OF UKRAINE

Redziuk Yevhenii
FINANCIAL INSTRUMENTS

GLOBAL IMPERATIVES OF DOMESTIC STOCK MARKET DEVELOPMENT

Biriuk Serhii

ISSUE OF ANALYSIS OF INSURANCE SERVICES' ESSENCE IN THE CONTEXT OF STATE REGULATION

RISK MANAGEMENT

LOGISTIC MODELS IN PROBLEMS OF ECONOMIC DYNAMICS

Zinkevych Tetyana          Melnik Olga

DETERMINANTS OF MODERN CONCEPT OF RISK-MANAGEMENT ON THE STOCK MARKET

Semerei Ivanna

MODEL FEATURES RISK MANAGEMENT OF SECURITIES TRADING

 

 

 

 

 

 

 

 

 

 

 

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