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This paper examines the differences in the asset return comovement of the BRIC countries (Brazil, Russia, India and China), the other developed economies in their regions (Canada, Hong Kong and Australia) and the major industrialized economies (the U.K., Germany and Japan) with respect to the U.S. for different return periods.
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There are important differences in the institutional assets, in the compensation of occupational diseases, and in the kinds of incentives used in different countries regardless of the social insurance system.
report questions the basis of the Fed's insistence on equal treatment, noting that there were significant differences in the quality of the assets covered under the insurance agreements, and therefore the potential losses for each company were quite different.
For the construction of the 2011 asset index, some asset indicators were excluded from the PCA, as they showed either incoherent results (negative value of a positive asset), or an unequal distribution across districts, which reflects geographical differences in the distribution of an asset, rather than individual.
This may be related to the relatively small differences in assets between the wealthiest and poorest households and the lack of a significant relationship in iCCM areas to the relatively short follow-up period from full implementation of iCCM.
Some of the variation between banks is explained by genuine differences in the riskiness of their assets.
To investigate why behaviour of common voles is not adjusted like predicted in the asset protection theory, the differences in behaviour between young and older voles should be observed in natural populations with fluctuating densities and active competition.
To further assess potential differences in asset valuations by gender we regressed self-assessed values of different assets reported in the EFF on the same demographic and socio-economic characteristics.
In reality, some differences in the qualities of the two Brazilian assets explain the differences in price.
There are massive differences in the rates of supply inflation between assets and the index needs to take them into account over time.
While CIRP generally holds, it does not hold with precision due to the presence of transaction costs, political risks, tax implications for interest earnings versus gains from foreign exchange, and differences in the liquidity of domestic versus foreign assets.
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