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Found 633 Documents (Results 1–100)

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On the probability of ruin of a joint-stock insurance company in the sparre Andersen risk model. (English. Russian original) Zbl 1461.91256

J. Math. Sci., New York 254, No. 4, 574-581 (2021); translation from Fundam. Prikl. Mat. 22, No. 3, 179-189 (2018).
MSC:  91G05 62P05
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Impacts of measurement errors on simultaneous equation estimation of dividend and investment decisions. (English) Zbl 1454.91356

Lee, Cheng Few (ed.) et al., Handbook of financial econometrics, mathematics, statistics, and machine learning. Volume 4. Hackensack, NJ: World Scientific. 4001-4023 (2021).
MSC:  91G50 62P05
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Sustainable growth rate, optimal growth rate, and optimal payout ratio: a joint optimization approach. (English) Zbl 1451.91225

Lee, Cheng Few (ed.) et al., Handbook of financial econometrics, mathematics, statistics, and machine learning. Volume 3. Hackensack, NJ: World Scientific. 3413-3464 (2021).
MSC:  91G50 91B62
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Subdominant eigenvalue location and the robustness of dividend policy irrelevance. (English) Zbl 1442.91113

Brzdęk, Janusz (ed.) et al., Ulam type stability. Based on the conferences on Ulam type stability (CUTS), Cluj-Napoca, Romania, July 4–9, 2016 and Timisoara, Romania, October 8–13, 2018. Cham: Springer. 273-324 (2019).
MSC:  91G50 91G80
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