Using the regression model for the portfolios analysis and management
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Cited by:
- Constantin ANGHELACHE & Marius POPOVICI, 2017. "Financial market analysis models," Romanian Statistical Review Supplement, Romanian Statistical Review, vol. 65(6), pages 174-183, June.
- Constantin Anghelache & Madalina-Gabriela Anghel, 2015. "Analysis Model of the Capital Market in Romania," Knowledge Horizons - Economics, Faculty of Finance, Banking and Accountancy Bucharest,"Dimitrie Cantemir" Christian University Bucharest, vol. 7(3), pages 65-73, September.
- Teymur Sarkhanov & Nigar Huseynli, 2022. "Econometric Analysis of Renewable Energy Consumption and Economic Growth: The Case of Kazakhstan and Kyrgyzstan," International Journal of Energy Economics and Policy, Econjournals, vol. 12(6), pages 163-167, November.
- Bahman Huseynli, 2022. "Examining the Relationship Between Brand Value, Energy Production and Economic Growth," International Journal of Energy Economics and Policy, Econjournals, vol. 12(3), pages 298-304, May.
- Gabriela Victoria ANGHELACHE & Prof. Vladimir MODRAK & Madalina Gabriela ANGHEL & Marius POPOVICI, 2016. "Portfolio Management and Predictability," Romanian Statistical Review Supplement, Romanian Statistical Review, vol. 64(1), pages 59-63, January.
- Constantin ANGHELACHE & Madalina Gabriela ANGHEL, 2015. "Theoretical aspects concerning the use of the statistical-econometric instruments the analysis of the financial assets," Romanian Statistical Review Supplement, Romanian Statistical Review, vol. 63(9), pages 44-48, September.
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Keywords
linear regression; financial instruments portfolio; BET index; yields; correlation coefficient.;All these keywords.
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