Sentence examples for studies in finance from inspiring English sources

Exact(3)

Existing research, especially the quantitative and empirical studies in Finance, have mostly emphasized the positive impacts of HFT.

This manifests itself in the prevalence of double-majoring - I know students in my major who are complementing their studies in finance with courses in entrepreneurship, social impact, music, anthropology, the fine arts, and the hard sciences.

The couple courted long-distance for six years while Mialy completed her undergraduate and masters studies in finance and accounting in Paris; they were reunited in Madagascar in 2000 and wed the same year.

Similar(55)

Ms. Do decided to pursue an M.B.A. so she could be in Gainesville when Mr. Simon returned from Spain to finish his last year of undergraduate study in finance.

The processes of long memory have evolved into a vital and important part of the time series analysis during the last decades, as studies in empirical finance have sought to use the "ideal" models in practical applications of importance in the financial engineering.

A recent paper by two economists studied pay in finance from 1909 to 2006, comparing the industry's pay levels with the private sector as a whole, seeking to adjust for education, skills, age and gender of the workers.

Continuing education Hibist Kassa, 24, an Ethiopian refugee in Ghana now completing graduate studies in development financing, said the key to ensuring that young people are engaged and supported is to go beyond the basics of primary school education.

"WHY ICELAND?" is a provocative, urgently important case study in international finance, but it is marred by the fact that the prose sometimes degenerates into macroeconomic-speak that may be incomprehensible to the general reader.

Anant Sundaram: The issue of what are "optimal" board characteristics has been extensively studied in law, finance and corporate strategy.

Next up is Demosthenes Tambakis, fellow and director of studies in economics and finance at Pembroke College, Cambridge.In the short-term, evaluating deflation risk requires an assessment of inflation expectations.

As Roberts and Whited (2013) state in their survey paper, the most important and pervasive issue confronting studies in empirical corporate finance is endogeneity.

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