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                             17 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A multicriteria decision support tool for modelling bank credit ratings Gaganis, Chrysovalantis

306 1-2 p. 27-56
artikel
2 A regression-based improvement to the multiple criteria ABC inventory classification analysis Karagiannis, Giannis

306 1-2 p. 369-382
artikel
3 Can earnings management information improve bankruptcy prediction models? Séverin, Eric

306 1-2 p. 247-272
artikel
4 Corporate social behaviour: Is it good for efficiency in the Chinese banking industry? Fukuyama, Hirofumi

306 1-2 p. 383-413
artikel
5 Corporate social responsibility: How much is enough? A higher dimension perspective of the relationship between financial and social performance Kalaitzoglou, Iordanis

306 1-2 p. 209-245
artikel
6 Developing automated valuation models for estimating property values: a comparison of global and locally weighted approaches Doumpos, Michalis

306 1-2 p. 415-433
artikel
7 Enriched preference modeling and robustness analysis for the ELECTRE Tri-B method Kadziński, Miłosz

306 1-2 p. 173-207
artikel
8 How do peace dividends bring about human development and productivity? Lu, Wen-Min

306 1-2 p. 435-452
artikel
9 Inefficiency source tracking: evidence from data envelopment analysis and random forests Anouze, Abdel Latef

306 1-2 p. 273-293
artikel
10 Measuring the effects of M&As on Eurozone bank efficiency: an innovative approach on concentration and credibility impacts Galariotis, Emilios

306 1-2 p. 343-368
artikel
11 Multi-criteria optimization in regression Tsionas, Mike G.

306 1-2 p. 7-25
artikel
12 Natural disasters and economic growth: a quantile on quantile approach Atsalakis, George S.

306 1-2 p. 83-109
artikel
13 Operational aspect of the policy coordination for financial stability: role of Jeffreys–Lindley’s paradox in operations research Nasir, Muhammad Ali

306 1-2 p. 57-81
artikel
14 Preface: Regression methods based on OR techniques and computational aspects in management, economics and finance Benkraiem, Ramzi

306 1-2 p. 1-6
artikel
15 Sparse factor model based on trend filtering Kim, Jang Ho

306 1-2 p. 321-342
artikel
16 The long memory HEAVY process: modeling and forecasting financial volatility Karanasos, M.

306 1-2 p. 111-130
artikel
17 Unveiling endogeneity between competition and efficiency in Chinese banks: a two-stage network DEA and regression analysis Tan, Yong

306 1-2 p. 131-171
artikel
                             17 gevonden resultaten
 
 Koninklijke Bibliotheek - Nationale Bibliotheek van Nederland