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Rationally justifying Bitcoin's immense price fluctuations has remained a persistent challenge for both investors and researchers in this field. A primary reason is our potential weakness toward robustly quantifying unquantifiable risks or ambiguity in Bitcoin returns. This paper introduces a...
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This study investigates the volatility and external shock persistence within the financial and alternative assets markets during times of crises triggered by Covid-19 and the war in Ukraine. Univariate GARCH family models are used to capture the effect of financial turmoil caused by recent...
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Part 1: Green Finance, Sustainability, and Investment Strategies -- Chapter 1. Multi-criteria Decision Analysis for Sustainable Green Financing in Energy Sector -- Chapter 2. The Development of the Global Green Finance Market: the Role of Banks and Non-banking Institutional Investors -- Chapter...
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-- Experimental Economics and the Theory of Finance -- Merger and Acquisition: Definitions, Motives, and Market Responses … -- Multistage Compound Real Options: Theory and Application -- Market Efficiency Hypothesis -- The Microstructure … regression and hazard method in accounting and finance research -- Cube Root Utility Theory -- A Global Comparative Study of …
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Introduction -- Distributed ledger technologies in capital markets -- Crypto-assets law and regulation -- Smart contracts and financial transactions : practice, risk, and governance -- Regulatory objectives for cryptocurrency systems : unstable coins, stable coins and state-backed cryptocurrency...
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