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  • A study of investment strategies volatility. The advantages of trading options in the stock market. The concept, nature and characteristics strategies options Straddle, creating a positive return without any cost for transactions using this strategy.

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  • Definition of syndicated lending according to Kazakh law. The Types of Syndicated Loans. Peculiarities of lending to large businesses in JSC "Bank centercredit". Problem of financing of business in Kazakhstan. Special Problems of Syndicated Loans.

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  • Значение, задачи и система информационного обеспечения анализа финансового состояния. Сущность, содержание финансового состояния и факторы, его определяющие, методы анализа и выбор показателей оценки. Оценка платежеспособности и ликвидности организации.

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  • Of all the many changes of the world economy in recent decades, few have been nearly so dramatic as the resurrection of global finance. How can we explain the remarkable globalization of financial markets and what are its economic, political implications?

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  • Evaluation of the potential relationship between the degree of transparency of the companies and their financial indicators. The impact of regulatory information disclosure on the business on his financial well-being. Financial Performance link.

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  • The main advantages of unstructured text data, their use in the political and economic areas. Research of connection between the online-news headlines and the activities of the financial market. Using of linear regression models for predicts log-returns.

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  • Pricing strategy as the pursuit of identifying the optimum price for goods. Main pricing strategies: Discount, Market Penetration, Premium, Skim Pricing. Skim pricing as a technique that companies use to find the optimum price point for a product.

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  • Research the performance of the contrarian strategy using stock market indexes of developing countries over the 1987-2014 period. The results of this research provide evidence for existence of the mean reversion phenomenon across developing markets.

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  • Functioning of the Russian financial market and mutual funds. Рarameters that can give information about funds management. Тhe role of skill in Russian equity funds management during the last years. Distribution of number of observations for funds.

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  • Determination of the features of effective investment policy, which can create conditions for overcoming the current crisis through attracting foreign capital. Analysis of methods for attracting foreign investment and financial control over their use.

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  • Stochastic properties of turkish real interest rate, that plays a central role in the decision-making of households, firms and government, has also some important implications on the basic assumptions of a number of financial and macroeconomic models.

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