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  • Search: person:"Martinkute-Kauliene, Raimonda"
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Year of publication
Subject
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Börsenkurs 3 Derivat 3 Derivative 3 Share price 3 Bond market 2 Debt crisis 2 Derivative financial instruments (derivatives) 2 ERM 2 Efficient market hypothesis 2 Effizienzmarkthypothese 2 Euro area 2 Eurozone 2 GDP 2 Litauen 2 Lithuania 2 Public bond 2 Public debt 2 Rentenmarkt 2 Schuldenkrise 2 V4 (Czech Republic, Hungary Slovakia, Poland) 2 Volatility 2 Volatilität 2 enterprise 2 foreign exchange transactions and interest rate derivative contracts 2 inflation 2 risk management 2 risk manager 2 sustainability 2 unemployment rate 2 Öffentliche Anleihe 2 Öffentliche Schulden 2 ARCH model 1 ARCH-Modell 1 Arbeitslosigkeit 1 Capital income 1 Czech Republic 1 Financial market 1 Finanzmarkt 1 Forecasting model 1 Globalisierung 1
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Online availability
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Free 7 CC license 2 Undetermined 1
Type of publication
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Article 7 Book / Working Paper 2
Type of publication (narrower categories)
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Article in journal 5 Aufsatz in Zeitschrift 5 Article 2
Language
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English 9
Author
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Martinkute-Kauliene, Raimonda 6 Garskaite-Milvydiene, Kristina 3 Martinkutė-Kaulienė, Raimonda 3 Aktan, Bora 2 Fakhry, Bachar 2 Gavurová, Beata 2 Khan, Muhammad Asif 2 Kovács, Sándor 2 Masood, Omar 2 Virglerova, Zuzana 2 Lu, Jia 1 Shazemeen, Noor Muhammad 1 Tvaronaviciene, Manuela 1 Tvaronavičienė, Manuela 1
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Published in...
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Amfiteatru Economic Journal 1 Amfiteatru economic : an economic and business research periodical 1 Contemporary Economics 1 Contemporary economics 1 Economic research 1 Entrepreneurial business and economics review : EBER 1 Romanian journal of economic forecasting 1
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Source
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ECONIS (ZBW) 7 EconStor 2
Showing 1 - 9 of 9
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Examination of the Relationship between Derivative Financial Instruments and the Economic Development of Lithuania
Garskaite-Milvydiene, Kristina; Martinkute-Kauliene, … - 2021
Derivative financial instruments play a major role in financial markets. However, there are rather contradictory views regarding this issue. Their impact on the financial markets, their stability and the economy have not been thoroughly examined. The aim of this paper is to analyse derivatives...
Persistent link: https://www.econbiz.de/10013227104
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Examination of the relationship between derivative financial instruments and the economic development of Lithuania
Garskaite-Milvydiene, Kristina; Martinkute-Kauliene, … - In: Contemporary economics 15 (2021) 2, pp. 240-255
Derivative financial instruments play a major role in financial markets. However, there are rather contradictory views regarding this issue. Their impact on the financial markets, their stability and the economy have not been thoroughly examined. The aim of this paper is to analyse derivatives...
Persistent link: https://www.econbiz.de/10012544359
Saved in:
Cover Image
Examination of the relationship between derivative financial instruments and the economic development of Lithuania
Garskaite-Milvydiene, Kristina; Martinkute-Kauliene, … - In: Contemporary Economics 15 (2021) 2, pp. 240-255
Derivative financial instruments play a major role in financial markets. However, there are rather contradictory views regarding this issue. Their impact on the financial markets, their stability and the economy have not been thoroughly examined. The aim of this paper is to analyse derivatives...
Persistent link: https://www.econbiz.de/10014544584
Saved in:
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The internationalization of SMEs in Central Europe and its impact on their methods of risk management
Virglerova, Zuzana; Khan, Muhammad Asif; … - In: Amfiteatru Economic Journal 22 (2020) 55, pp. 792-807
The international business environment is very competitive, and enterprises should be aware of how to manage business risks, which methods to choose, and what impact these risks have on the sustainability of these methods and on the whole system. The aim of this article is to analyse the impact...
Persistent link: https://www.econbiz.de/10014462002
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Portfolio decision using time series prediction and multi-objective optimization
Lu, Jia; Shazemeen, Noor Muhammad; Martinkute-Kauliene, … - In: Romanian journal of economic forecasting 23 (2020) 4, pp. 118-130
Persistent link: https://www.econbiz.de/10012425378
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The internationalization of SMEs in Central Europe and its impact on their methods of risk management
Virglerova, Zuzana; Khan, Muhammad Asif; … - In: Amfiteatru economic : an economic and business research … 22 (2020) 55, pp. 792-807
The international business environment is very competitive, and enterprises should be aware of how to manage business risks, which methods to choose, and what impact these risks have on the sustainability of these methods and on the whole system. The aim of this article is to analyse the impact...
Persistent link: https://www.econbiz.de/10012656360
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The Impact of Regime-Switching Behavior of Price Volatility on Efficiency of the US Sovereign Debt Market
Masood, Omar - 2017
This article focuses on the asset price volatility at the stock exchange that result from the regime switching behaviour in the market. This study is devoted to the question about how the asset price volatility affects the US sovereign debt market. The efficient market hypothesis has been a base...
Persistent link: https://www.econbiz.de/10012944095
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The impact of regime-switching behaviour of price volatility on efficiency of the US sovereign debt market
Masood, Omar; Aktan, Bora; Gavurová, Beata; Fakhry, Bachar - In: Economic research 30 (2017) 1,2, pp. 1865-1881
Persistent link: https://www.econbiz.de/10012225200
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Risk factors in derivatives markets
Martinkutė-Kaulienė, Raimonda - In: Entrepreneurial business and economics review : EBER 2 (2014) 4, pp. 71-83
Persistent link: https://www.econbiz.de/10011450054
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