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Keyword: finance & banking
Found
743 papers
in total
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Accounting and reimbursement schemes for inpatient care in France
2006,
Bellanger Martine M.
The new French case-mix system of hospital payment was adopted in 2004 for public...
Investigating purchasing-sequence patterns for financial services using Markov, mixture transition distribution and mixture transition distribution (generalised) models
2006,
Poel Dirk Van den
In the past, several authors have found evidence for the existence of a priority...
A fuzzy model for accounting analysis about operating exposure to currency changes
2000,
Rodrigues Lucia Maria Portela de Lima
This paper presents the development of a model for accounting analysis on operating...
Actuarial mathematics with fuzzy parameters; An application to collective pension plans
1997,
Jimnez M.
Two types of uncertainty are found in the actuarial valuation operations. One of them...
A multi-objective model for bank ATM networks
2005,
Thomas L.C.
In this paper we present an application of the core solution concepts for...
A list-sequential sampling scheme with applications in financial auditing
2003,
Horgan Jane M.
External auditors have the responsibility of estimating the level of error in accounts...
Evolving Economy Bank Asset–Liability and Risk Management Under Uncertainty with Hierarchical Objectives and Nonlinear Pricing
2002,
Kajiji Nina
Quantitative modelling of the asset–liability management (ALM) problem faced by...
A resource allocation matrix approach to IT management
2006,
Mrtensson Anders
This paper draws on an interview-based study of four information intensive companies...
The effect of credit on spending decisions: The role of the credit limit and credibility
2002,
Soman Dilip
The objective of the present research is to study consumer decisions to utilize a line...
The dynamics of innovative activity and competitive advantage: The case of Australian retail banking, 1981–1995
2003,
Amit Raphael
This study examines the adoption of new products and processes in the Australian...
Risk measurement and management of defined benefit pension schemes: A stochastic approach
2003,
Haberman Steven
The traditional actuarial valuation for defined benefit pension schemes operates on...
Take (smoothed) risks when you are young, not when you are old: How to get the best from your pension plan
2003,
Blake David
Using stochastic modelling, we demonstrate that the best investment strategy for the...
CCAS (Credit Card Assessment System): an intelligent decision support system for credit card assessment
2002,
Matsatsinis Nikolaos F.
During the last two decades credit cards have became one of the main ways for...
Multi-criteria evaluation of loan applications in shipping
2002,
Dimitras Augustinos I.
The development of the shipping industry has been traditionally based on bank loans....
Estimating output gains by means of Luenberger efficiency measures
2005,
Weber William L.
In this paper we propose a new measure of input allocative efficiency that we estimate...
Quantifying the role of personal management style in the success of investment portfolios
2001,
Vuuren J.H. van
It is extremely difficult to quantify the effect of different management styles of...
A mathematical approach to increasing the long-term wealth of an agricultural enterprise
2003,
Honert Rob van den
This study focuses on developing an agricultural investment model based upon proven...
A study on decision factors in adopting an online stock trading system by brokers in Taiwan
2005,
Yen David C.
With the influence of the Internet booming and global competition expanding,...
Robust tracking error optimization problems by second-order cone programming
2005,
Mizuno Shinji
Recently, a robust optimization model is proposed to portfolio selection problems in a...
An experiment on selecting most informative variables in socio-economic data
2003,
Jenkins Larry
In many studies where data are collected on several variables, there is a motivation...
Speculative behavior, exchange rate volatility, and central bank intervention
2001,
Westerhoff Frank H.
The aim of this paper is twofold. First, to develop a model which helps to explain the...
Robust profit opportunities in risky financial portfolios
2005,
Pinar Mustafa .
For risky financial securities with given expected return vector and covariance...
The challenges of cross-disciplinary work: accounting and financial reporting for governments and nonprofits
2005,
Kattelus Susan C.
This introductory article to the special symposium entitled “The Evolution of...
Vector optimization approach for pricing and hedging in imperfect markets
2004,
Balbs Alejandro
The paper introduces and applies the concept of pseudo-arbitrage in order to price and...
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