Business & Economics
Financial Risk Management
100%
Value at Risk
84%
Stylized Facts
79%
Traders
68%
Cox Process
64%
Price Discovery
59%
Company Valuation
58%
Fixed Income Market
58%
Informativeness
56%
Exchange Rates
55%
Network Analysis
54%
Business Valuation
54%
Eurodollar
52%
Interest Rates
51%
Credit Default Swap (CDS) Spreads
49%
Facebook
49%
Dubai
48%
Cryptocurrency
48%
Prediction
47%
Causality Analysis
47%
Credit Spreads
47%
Technical Analysis
46%
Neural Networks
46%
Financial Risk
46%
Equity
44%
Information Share
43%
Financial Returns
43%
Causality
43%
Speculators
43%
Futures Contracts
42%
Securities Market
42%
Initial Public Offerings
40%
Capital Asset Pricing Model
40%
GARCH
39%
Credit Risk
36%
Risk Management
36%
Minorities
32%
Innovation
29%
Macroeconomic Variables
25%
Industry
24%
Assets
22%
Financial Economics
20%
Global Financial Crisis
19%
Futures Markets
19%
Currency
19%
Market Risk
19%
Price-taking
17%
Speculative Trade
16%
Volatility Clustering
16%
Mathematics
Technical Analysis
66%
Capital Asset Pricing Model
65%
Network Analysis
51%
Market
39%
Neural Networks
36%
Prediction
31%
Line
17%
Investment Analysis
14%
Portfolio Management
12%
Back-propagation Algorithm
12%
Regression
11%
Portfolio Theory
10%
Efficient Frontier
9%
Forecasting
8%
Variance-covariance Matrix
8%
Constrained Minimization
7%
Unconstrained Optimization
7%
Recommendations
6%
Trends
6%
Positive definite
5%
Methodology
5%
Strategy
5%
Uncertainty
5%
Social Sciences
corporate finance
67%
teachers' behavior
45%
finance
22%
student
17%
risk management
13%
teacher
13%
education
11%
profit
11%
corporation
11%
private sector
10%
firm
10%
manager
9%
demand
8%
mathematics
8%
teaching materials
8%
industry
7%
university
6%
instructor
5%