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Eurasian Economic Perspectives -- Part 1: Human Resources -- Equity Market Segmentation in Risk-Based Portfolio Construction Techniques -- Forecasting the Dividend Policy Using Machine Learning Approach: Decision Tree Regression Models -- The Volatility Case of European Reits And Non-Reits --...
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Education -- Validity And Reliability Of The Flipped Learning Scale -- Developing Financial Efficiency Index For Higher Education Institutions -- Human Resources Management -- Employee Commitment In Relationship To Organizational Culture: The Case Of Lithuanian Companies -- The Mediating role of...
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This paper examines the impact vaccination programs have on the stock market volatility of the travel and leisure sector. Using daily data from 56 countries over the period from January 2020 to March 2021, we find that vaccination leads to a decrease in the investment risk of travel and leisure...
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In this paper, we explore whether economic uncertainty differently affects the default risk of Islamic and conventional banks. Using a sample of 568 banks from 20 countries between 2009 and 2018, we use the World Uncertainty Index (WUI) by Ahir et al. (2018) to conduct a study based on a...
Persistent link: https://www.econbiz.de/10013235684
The COVID-19 pandemic has exerted a remarkable impact on stock market volatility around the globe. Can vaccination programs revert these adverse effects? To answer this question, we scrutinize daily data from 66 countries from January 1st, 2020, to February 18th, 2021. We provide convincing...
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