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economic downturn. It is important to determine what portfolio diversification strategy to choose in that period. In the first … part of the research are analyzed theoretical assumptions of portfolio diversification and Exchange-Traded funds … characteristics as an investment vehicle and suggest that the benefit of international diversification is reducing, because of the …
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Baigiamajame magistro darbe analizuojamos eksporto plėtros strategijos, kurios labiausiai taikytinos žuvies perdirbimo įmonėms. Aktualiausios šiandieną sektorių varžančios problemos skirstytinos į makroplotmėje veikiančias ir su įmonių kompetencijų stoka susijusias (vidines)....
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Commercial bank credit risk evaluation and management problems, the necessity of loan portfolio analysis and its goals … risk evaluation and management, central bank role in commercial banks credit risk valuation and management improvement. In …, particularly paying attention to changes of these bills over past few years, new ones confirmed in the bank and those changes …
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Object of the research: economic factors affecting diversification. Aim of the research: to analyze economic factors … affecting possibility of business diversification in Paparčiai neighborhood. Objectives: 1st to analyze theoretical aspects of … economic factors affecting business diversification; 2nd to analyze factors affecting diversified activity and tendencies of …
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which global stock portfolios diversification strategy – diversification by development level of the world regions’ stock … market, diversification by country, diversification by sector or by stock capitalization on a world region basis - is the … diversification of the global stock... [to full text] …
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