Financial modeling, risk management of energy and environmental instruments and derivatives: past, present, and future.
Autor: | Jana RK; Operations and Quantitative Methods Area, Indian Institute of Management Raipur, Atal Nagar, CG 493661 India., Tiwari AK; Indian Institute of Management Bodh Gaya, Bodh Gaya, India., Hammoudeh S; Lebow College of Business, Drexel University, 3220 Market Street, Philadelphia, USA.; Bureau of Business Research, University of Economics Oh Chi Min City, Ho Chi Min City, Vietnam., Albulescu C; Management Department, Research Center in Engineering and Management, Politehnica University of Timisoara, 300006 Timisoara, Romania. |
---|---|
Jazyk: | angličtina |
Zdroj: | Annals of operations research [Ann Oper Res] 2022; Vol. 313 (1), pp. 1-7. Date of Electronic Publication: 2022 May 10. |
DOI: | 10.1007/s10479-022-04723-2 |
Abstrakt: | In this preface, we investigate the past, study the present, and look for the future of financial modeling, risk management of energy and environmental instruments, and derivatives based on articles selected in this special issue (SI). We also summarize the significant findings of those articles and identify the research trends. (© The Author(s), under exclusive licence to Springer Science+Business Media, LLC, part of Springer Nature 2022.) |
Databáze: | MEDLINE |
Externí odkaz: | |
Nepřihlášeným uživatelům se plný text nezobrazuje | K zobrazení výsledku je třeba se přihlásit. |