Ejemplares similares: Determining the Investor's Strategy During the COVID-19 Crisis Based on CVAR Risk Measure
- Determining the Investors’ Strategy During the COVID-19 Crisis Based on the S&P 500 Stock Index
- Analysis of Selected Stock Before, During and After the Covid- 19 Pandemic, Using the GARCH Model
- Impact of Household Sentiment and Expectations on Stock Returns in U.S. During Covid-19 Pandemic: Is there any Relationship?
- The Advantage of Mediation in the Context of Coping with the Covid-19 Pandemic
- Consequences of COVID- 19 on Financial Markets
- Migration Governance in Slovakia during the COVID-19 Crisis
Autor: Pekár, Juraj, 1972-
Autor: Brezina, Ivan, 1963-
- Študijný program Fakulty hospodárskej informatiky Ekonomická univerzita v Bratislave 2002/2003
- Tréning a ďalšie vzdelávanie manažmentu univerzít
- Študijný program Fakulty hospodárskej informatiky 2000/2001
- Kvantitatívne metódy v logistike
- Prípadové štúdie z operačného výskumu
- Študijný program Fakulty hospodárskej informatiky Ekonomická univerzita v Bratislave 2001/2002