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Alternatyvioji vertybinių popierių rinka yra aktualus ekonominių – finansinių studijų objektas, ypač besivystančių finansų rinkų kontekste. Šio baigiamojo darbo tikslas yra atlikus teorinę AVPR analizę bei atsižvelgus į jau veikiančių jų patirtį, įvertinti AVPR Lietuvoje...
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Rizikos kapitalas kaip finansavimo būdas yra laikomas itin svarbiu jaunų, antrepreneriškų įmonių finansavimo šaltiniu, todėl yra svarbu įvertinti, kokie veiksniai įtakoja rizikos rizikos kapitalo sektoriaus kūrimąsi bei plėtrą. Disertacijoje išplėtota rizikos kapitalo samprata,...
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and possibilities of the globalization as well as with account of growing significance of the innovation within the …
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Most of today’s finance management and investment scientific papers emphasize the importance of finance risk management … and practical aspects of treasury risk management, factors causing risk, types of risks, methods of treasury risk … evaluation and management as described by various Lithuanian and foreign authors. It identifies that the main goal of risk …
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The main idea of current PhD thesis is the analysis of bank value and risk interdependence, and that bank value is … basis with simulation modeling. In the work are presented systemic view of risk, risk sorts, risk management including cash … flow risk management and credit risk management, bank value and valuation methodology, modeling and use in practical tasks. …
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Principe of insurance companies is to take risk of insured. If risks of insured are different it is advisable to adjust … insurance premium considering into risk rate so it is very important to estimate and evaluate factors from which depends if … solving this issue. After estimating the most risky group it is required to measure risk rate which helps to estimate …
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