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We study the risk-taking behavior of stock analysts under varying market conditions. We examine how the risk analysts take by providing bold forecasts that deviate from consensus depends on the degree of uncertainty in the environment as well as the analysts' skill level. We provide evidence...
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Purpose – The purpose of this paper is to discuss three corporate real estate (CRE) perspectives (business, financial and capital market) as well as some potential issues, supported by key research studies and evidence drawn from listed retail companies in the USA, and European and Asian...
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In the final theses of different authors examine the profitability and solvency interpretation. What distinguishes the … most reasonable result and its treatment based on the framing of the concept of profitability and solvency, which describes … the same test object. It is also described by various authors in profitability and financial indicators of solvency made …
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business solvency and demographics in Spain by means of various indicators. The analysis shows that to date this shock has had …
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