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Issue |
Title |
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Vol 1, No 39 (2023): Continuous publication Janeiro/Março |
CHANGING THE NATURE OF STOCK RISK OVER TIME THE LONG-TERM ASPECT |
Abstract
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Vladimir Galanov, Natalia Chelukhina, Denis Perepelitsa, Elmira Asyaeva, Evgeniy Afanasyev |
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Vol 3, No 36 (2022): JULHO/SETEMBRO |
THE EVALUATION OF FUNDAMENTAL METHODS EFFECTIVENESS ON THE RUSSIAN STOCK MARKET |
Abstract
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Ivan Sergeevich Tolkachev, Alexander Sergeevich Kotov, Denis Grigorievich Perepelitsa, Elmira Ahmetshaevna Asyaeva, Bachrom Asrorovich Tursunov |
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Vol 4, No 37 (2022): OUTUBRO/DEZEMBRO |
IMPACT OF GLOBALIZATION FACTORS ON INFLATION RISKS DURING COVID-19 PANDEMIC |
Abstract
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Gennady Degtev, Aleksandr Shelygov, Olga Lizina, Igor Shichkin, Evgeniy Kochetkov |
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Vol 1, No 39 (2023): Continuous publication Janeiro/Março |
RISK MANAGEMENT OF STRATEGIC MARKETING IN MODERN BUSINESS PROJECTS |
Abstract
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Irina Kiseleva, Aziza Tramova, Elena Chernikova, Fatimat Mambetova, Salambek Sulumov |
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Vol 2, No 35 (2022): ABRIL - JUNHO |
DECISION-MAKING MODELING IN THE CONTEXT OF RISK AND UNCERTAINTY CAUSED BY SOCIAL AND POLITICAL PROCESSES |
Abstract
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IRINA ANATOLIEVNA KISELEVA, Aziza Muhamadiyaevna Tramova, Tanzilya Khkimovna Sozaeva, Movsar Musaevich Mustaev |
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Vol 3, No 36 (2022): JULHO/SETEMBRO |
THE STUDY OF THE RISK OF CRYPTOCURRENCIES VOLATITY UNDER GLOBAL UNCERTAINTY |
Abstract
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Liubov Lehoux, Olga Kirillova, Ravil Akhmadeev, Tatiana Morozova, Olga Bykanova, Irina Avvakumova |
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