169 Search Results for Financial Models for Predicting Price Movement Using Interest Rates
Vasicek model is a model used in finance that depicts the development, movement or evolution of interest rates. The model is based on one single factor or source of market risk but it is useful in evaluating the pricing of derivatives or interest rat Continue Reading...
3.2.3 Portfolio Diversification of Investment in Global Property Markets
Because the global property markets are affected by globalization and specific country / regional factors, means that the overall amounts of risks will vary, the most notable Continue Reading...
Japan
On January 29th, 2016, the Japanese government instituted a negative interest rate for the first time in history. The stated objective of this policy is to "encourage banks to lend, business to invest and savers to spend," but the policy has c Continue Reading...
Financial Derivatives
This study emphasized the importance roles of financial derivatives, which has been known for the last decade and its effects on the Global financial crisis. It further analyzes the impact of financial derivatives and how it ca Continue Reading...
Coefficients reflect to a rate of change in the dependant variable which leads to one point change in dependant variable. For example, coefficient of -0,05 infers small negative influence of this explanatory variable on the dependant variable, while Continue Reading...
They state that the FOREX market represents "the market in which participants are able to buy, sell, exchange and speculate on currencies. The forex markets is made up of banks, commercial companies, central banks, investment management firms, hedge Continue Reading...
Risk Analysis Financial Markets Main Techniques Risk Analysis
Risk analysis in the financial markets
This essay mainly intends to outline and explain the objective of risk analysis in the financial market and the main techniques used in risk analy Continue Reading...
stock market and the Banks promote economic growth and it provides a critique of their functions in transitional economies. Every country depends on its economy for its growth. For a country to be stable it has to be stable in terms of its economy. Continue Reading...
Capital Asset Pricing Model and Arbitrage Pricing Theory:
Capital Asset Pricing Model (CAPM) is an arithmetical theory that describes the relationship between risk and return in a balanced market. The Capital Assets Pricing Model was autonomously an Continue Reading...
Model Development
The purpose of this study is to determine the macroeconomic factors that contribute to changes in inflation such as economic fundamentals and policies. The second part of the research uses a Markov switching model with time-varyi Continue Reading...
5% 2010 over 2009, indicating a major growth bounce back. What these figures indicate is that McDonalds may be priced at the high end of its range. The company is trading just off of its 52-week high and indeed is just off of its 10-year high.
The m Continue Reading...
The deal was immediately criticized as anti-competitive by William Kennard, the chairman of the Federal Communications Commission, and by the Communications Workers of America, which represents some workers at both of the merged companies. But neit Continue Reading...
finance and financial entrepreneurship. The basis of the article is on a discussion that was held on this subject among four leading lights of financial entrepreneurship in the United States - Michael Milken, Lewis Ranieri, Richard Sandor and Myron Continue Reading...
Behavioral Finance and Analysis of American Financial Crisis
Financial theories are the cornerstone of the modern corporate world. They lay the foundation for most tools used in areas like asset pricing and investment banking. Most theoretical conce Continue Reading...
The Help Desk has grown from being a stand-alone service strategy to one that is leading many organizations to support a multi-channel and in some instances, multi-channel based approach to delivering service.
Examples of TBSS options across differ Continue Reading...
CAPM
There are three models that can be used calculate the cost of capital for the firm. The first such model is the capital asset pricing model (CAPM). The CAPM formula is: E (rj )= RRF + b (RM - RRF). This means that the company's cost of capital Continue Reading...
Financial Statement AnalysisFinancial statement analysis refers to developing and analyzing a particular companys financial statements to help with the decision-making processes. It is also essential since it helps external stakeholders such as inves Continue Reading...
Behavioral Finance and Human Interaction a Study of the Decision-Making
Processes Impacting Financial Markets
Understanding the Stock Market
Contrasting Financial Theories
Flaws of the Efficient Market Hypothesis
Financial Bubbles and Chaos
The Continue Reading...
Decreased Usage of Nuclear Energy: A Qualitative Content Analysis
A Dissertation Presented using the Qualitative Content-Analysis
Komi Emmanuel Fiagbe Gbedegan
Christina Anastasia PH-D, Chair
[Committee Name], [Degree], Committee Member
[Committ Continue Reading...
Decreased Usage of Nuclear Energy: A Qualitative Content Analysis
A Dissertation Presented using the Qualitative Content-Analysis
Komi Emmanuel Fiagbe Gbedegan
Christina Anastasia PH-D, Chair
[Committee Name], [Degree], Committee Member
[Committ Continue Reading...
Decreased Usage of Nuclear Energy: A Qualitative Content Analysis
A Dissertation Presented using the Qualitative Content-Analysis
Komi Emmanuel Fiagbe Gbedegan
Christina Anastasia PH-D, Chair
[Committee Name], [Degree], Committee Member
[Committ Continue Reading...
Decreased Usage of Nuclear Energy: Qualitative-Content Analysis
ADissertation Presentedusing the Qualitative Content-Analysis
inPartial Fulfillment of the Requirements for the Degree of Doctor ofManagement in Environmental and Social Sustainability Continue Reading...
Exposure
Transaction exposure risk may be defined as "cash flow risk" and is associated with the impact of FX rate moves on exposure due to transactional accounts, regarding exports, import or dividend repatriation: and FX "rate change in the curre Continue Reading...
Management Research in Decreased Usage of Nuclear Energy: Content Analysis
A Dissertation Presented using the Qualitative Content-Analysis
Komi Emmanuel Fiagbe Gbedegan
Caroline Westerhof PH-D, Chair
Dr. Steven Munkeby PH-D, Committee Member
Dr Continue Reading...
QUESTION 1.Overconfidence (excessive optimism) is very commonly observed in human beings. Overconfidence leads to which types of irrational behavior in financial markets? Please list 3 and explain in detail.i. Over-precisionThe third form of irration Continue Reading...
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Spillover Effect on the Stock Market and Bond Prices in Relation with GARCH
Abstract
This study examines the spillover effect between bond and stock markets in the U.S. using GARCH. The finding of a unidirectional spillover flow from bonds to stoc Continue Reading...
profit through investing on Stock Market
Generally, all over the world financial markets exemplify a state of intricate and inscrutable situation. These marketplaces are of immense significance in the western nations, where the constituents employ Continue Reading...
Dissertation ManuscriptBySedric K. MorganGeopolitical Awareness and Understanding of the Current Monetary Policies: A Quantitative Study Northcentral University, 2019 Comment by Author: Sedric NOTE: take a look at the Turnitin Analysis report. Consi Continue Reading...
structure' theories by making use of a new method. To achieve this, the case study shapes strategies of bond investment centered on diverse term-structure models to decide the best performing strategy. When making use of a "Manipulation-Proof Perfor Continue Reading...
Rapid innovations in technology, particularly telecommunications and transportation, have accelerated the globalization process in recent years, and a number of positive outcomes have been associated with these trends, including increased levels of i Continue Reading...
Coping Through the Use of Informal Institutions during COVID-19 in South Africa, Nigeria, and SwazilandChapter 1: IntroductionThe global outbreak of COVID-19 raises many concerns regarding how individuals and communities who live in African countries Continue Reading...
United States has the highest rate of confinement of prisoners per 100,000 population than any other Western country. Analyze this phenomena and discuss actions that you feel are necessary to combat this problem.
The United States currently has the Continue Reading...
risk that Apple Inc. faces with respect to its international economic exposure. Apple designs its products in the United States, manufactures them in China and then sells them all over the world. In order to analyze this exposure, a number of steps Continue Reading...
Finance
Any Asset Pricing Theory forms the basic foundation of finance theory, in that it deals with the value of any asset under unknown or uncertain circumstances. The relationship between an asset and its price is the mainstay of the asset pricin Continue Reading...
Exchange Rate Volatility and International Trade
The foreign exchange rate market offers investors a chance to make a considerably larger return on their investment than any other market in the world. However, along with these potential gains comes Continue Reading...
Technical Analysis of Columbia Financial Market
Advocates of market efficiency generally believe that it is impossible for technical analysts to predict recurring-price pattern and technicians could not beat buy-and-hold strategy using technical tra Continue Reading...
Technical Analysis in the Implication of Efficient Market Hypothesis on Silver Market
The thesis is for the study of simple commonly used technical trading rules, which are applied on silver market. It covers years 1989 to 2005. A famous study carri Continue Reading...
52). The researcher handles or controls the items differently. It is a form of Pareto analysis where items such as customers, documents, activities, inventory items, sales territories grouped into three categories namely a, B, and C. In order of the Continue Reading...
(Jabal Omar Development Corporation 2010)
Kuwait
Since 2008, the real estate market in Kuwait has been continually declining. The reason why is because the economy was largely depending upon oil revenues. However, in 2010 the sector began witnessi Continue Reading...