The hardware accelerator debate: A financial risk case study using many-core computing ☆
در صورتی که مقاله لاتین مورد نظر شما تا کنون به زبان فارسی ترجمه نشده باشد، واحد ترجمه پایگاه ISI Articles با همکاری تنی چند از اساتید و مترجمان با سابقه، آمادگی دارد آن را در اسرع وقت و با کیفیت مطلوب برای شما ترجمه نماید.
Educational Simulation in Construction Project Financial Risks Management ☆
Advances in financial risk management and economic policy uncertainty: An overview ☆
A stochastic dominance approach to financial risk management strategies ☆
Managing financial risk in Chinese stock markets: Option pricing and modeling under a multivariate threshold autoregression
Retail investors' financial risk tolerance and their risk-taking behaviour: The role of demographics as differentiating and classifying factors
The shadow of the past: Financial risk taking and negative life events
Ruin with insurance and financial risks following the least risky FGM dependence structure
Mitigating hydrologic financial risk in hydropower generation using index-based financial instruments
Financial risk management for new technology integration in energy planning under uncertainty
Quantitative Techniques for Financial Risk Assessment: A Comparative Approach Using Different Risk Measures and Estimation Methods ☆
Evaluation of clustering algorithms for financial risk analysis using MCDM methods
Variance swaps, non-normality and macroeconomic and financial risks
Using financial risk measures for analyzing generalization performance of machine learning models
Beyond Mars and Venus: Understanding gender differences in financial risk tolerance
Does knowledge of finance mitigate the gender difference in financial risk-aversion?
Catastrophe bonds and financial risk: Securing capital and rule through contingency
Security-constrained self-scheduling of generation companies in day-ahead electricity markets considering financial risk
Determinants of systematic financial risk exposures of airlines in North America, Europe and Asia
The Research of the Regional Financial Risk Early-Warning Model Integrating the Regression of Lagging Factors
A multi-objective optimization model for sustainable electricity generation and CO2 mitigation (EGCM) infrastructure design considering economic profit and financial risk
Analysis of mean-VaR model for financial risk control
Managing the financial risks of electricity producers using options
Supply chain networks with corporate financial risks and trade credits under economic uncertainty
Research on Financial Risk Management for Electric Power Enterprises
A Statistical Model of Financial Risk Bankruptcy Applied for Romanian Manufacturing Industry ☆
When do online shoppers appreciate security enhancement efforts? Effects of financial risk and security level on evaluations of customer authentication
Measuring financial risk with generalized asymmetric least squares regression
An empirical study of classification algorithm evaluation for financial risk prediction ☆
Probabilistic assessment of financial risk in e-business associations
A rule extraction based approach in predicting derivative use for financial risk hedging by construction companies
Financial risk management in the design of products under uncertainty
Modelling the financial risk associated with U.S. movie box office earnings
Can insurance increase financial risk?: The curious case of health insurance in China
Effects of retailer post-purchase guarantee policies on consumer perceptions with the moderating influence of financial risk and product complexity
Sex or gender? Expanding the sex-based view by introducing masculinity and femininity as predictors of financial risk taking
Approximating the distributions of estimators of financial risk under an asymmetric Laplace law
Incremental dynamic analysis applied to seismic financial risk assessment of bridges
Executive compensation and non-financial risk: An empirical examination
Financial risk management in the planning of refinery operations
Extremal financial risk models and portfolio evaluation
Investing in stocks: The influence of financial risk attitude and values-related money and stock market attitudes
New measures and procedures to manage financial risk with applications to the planning of gas commercialization in Asia
Country financial risk and stock market performance: the case of Latin America
Terrorism-induced structural shifts in financial risk: airline stocks in the aftermath of the September 11th terror attacks
Financial risks for green electricity investors and producers in a tradable green certificate market
Aspects of the theory of financial risk management for natural disasters ☆
Assessing financial risks using a multicriteria sorting procedure: the case of country risk assessment
A survey of credit and behavioural scoring: forecasting financial risk of lending to consumers