过去一年中添加的文章,按日期排序

'n Besigheidskool-gevallestudie: Die akademiese prestasie van MBA-Bemarkingsbestuurstudente tydens volledige kontak-, virtuele en gemengde klasse.

C BISSCHOFF - Tydskrif vir Geesteswetenskappe, 2024 - search.ebscohost.com
29 天前 - management. He collaborates with his international network and also focuses on
comparative inter-country research. … The final assessment is a portfolio of evidence comprising …

[PDF][PDF] A multi-stage stochastic programming for asset-liability management in Civil Servants Pension Fund

MK Savejbolaghi, N Noorolahzadeh, R Darabi - sid.ir
63 天前 - … , and the yearly value at risk of the portfolio with a probability of 5% was … comparison
with results of traditional method used for asset - liability management of the case study

Comparative Analysis of ARIMA and LSTM Models for Stock Price Prediction

SA Panchal, L Ferdouse… - … Conference on Software …, 2024 - ieeexplore.ieee.org
87 天前 - manage risks effectively in the dynamic and complex world of financial markets. It
also aids in portfolio management … This study delves into the intriguing realm of stock price …

Returns of Nifty 100 ESG Index and Nifty Thematic Indices: A Comparative Study.

B Nagarjuna - IUP Journal of Accounting Research & Audit …, 2024 - search.ebscohost.com
91 天前 - … and governance (ESG) programs. India's entire assets under management (AUM)
in ESG … High-quality ESG portfolios beat lower-quality portfolios during times of crisis. ESG …

Виявлення базових вимог до портфельного управління в оборонній сфері провідних країн-членів НАТО

M Tkach, G Medynska, Y Hrytsyuk… - Social Development and …, 2024 - paperssds.eu
92 天前 - … Purpose: outline the basic requirements for portfolio management in … study, the
comparison criteria were selected and their comparative analysis was made for further research, …

[HTML][HTML] Comparing Optimal Portfolio Performance Based on Skew-Normal Distribution and Skew-Laplace-Normal Distribution: A Mean-Absolute Deviation-Entropy …

H Rezaei, G Golarzi, O Karimi - Industrial Management Journal, 2024 - imj.ut.ac.ir
101 天前 - portfolio selection method is then applied based on this identified distribution type.
This study … Distribution for constructing an optimal portfolio in the Tehran Stock Exchange …

Project Portfolio Selection Model Considering the Divisibility and Risk Preference Under the Fuzzy Environment

Y Tao, X Luo - Available at SSRN 4857345 - papers.ssrn.com
114 天前 - … the comparative analysis and sensitivity analysis are carried out. The results 24
show that the portfolio can … scholar and enterprise in the field of project portfolio management. …

Resident AUVs: Enabling Efficient Operations and Improved Asset Integrity Through the DeepStar AUV Docking Station Standardization Program

S Mehta - Offshore Technology Conference, 2024 - onepetro.org
154 天前 - … There were therefore 5 possible outcomes from the comparative analysis, which were
… , this was related to fail safe management and therefore not something they would comply …

Data Skills for Everyone!(?)–An Approach to Assessing the Integration of Data Literacy and Data Science Competencies in Higher Education

A Coners, B Matthies, C Vollenberg… - Journal of Statistics and …, 2024 - Taylor & Francis
187 天前 - … of this comparative study, concise “teaching portfolios” are … integrated into the study
programs become transparent. … across all study programs reveals that the handling of data is …

Techno-Economic Study with Integrated CO2e Emission Model of Novel Pseudo Dry Gas Concept for Deepwater Gas Field with Long Tieback

A Azuhan, AA Rahman, J Johar, N Azmi… - Offshore Technology …, 2024 - onepetro.org
221 天前 - … intensity’ of the technology in comparison with various well-established concepts. …
undeveloped collection of gas assets within company portfolio. The functional basis of design …