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91.
The paper presents a technique developed by the authors, which makes it possible to determine the necessary amount of financing for education at all the budget system levels for 2008-2010, based on the Russian average value of financing, taking into account the budget expenditures index for two variants of student population, i.e. the actual number of on-budget students and the number of students required to meet the economy’s need for trained workers. The technique was developed and the calculations were made on the basis of Russian long-term forecasts and the Russian three-year federal budget for 2008–2010. 相似文献
92.
V. R. Markaryan 《Studies on Russian Economic Development》2008,19(5):492-500
The economic situation, foreign economic relations, and export/import structure of Southern Russian regions are considered; the author’s opinion on the development of free economic prices in Southern Russiaís resort area is given; this conclusion is justified on the grounds that any trends emerging in the foreign relations of Southern Russian regions must be adjusted to match the targets set for the country as a whole. 相似文献
93.
Juan A. Lafuente 《Spanish Economic Review》2002,4(3):201-220
This paper analyses the intraday lead-lag relationships between returns and volatilities in the Ibex 35 spot and futures
markets. Using hourly data, we jointly analyze the interactions between markets, estimating a bivariate error correction model
with GARCH perturbations which captures stochastically the presence of an intraday U-shaped curve for both spot and futures market volatility. Our findings show a bidirectional causal relationship between market
volatilities, with a positive feedback. This two-way transmission of volatility is consistent with market prices evolving
according to a long-run equilibrium relationship, and shocks affecting both markets in the same direction. Our empirical results
also support a unidirectional cross interaction from futures to spot market returns. This pattern suggests that the futures
market leads the spot market in order to incorporate the arrival of new information. 相似文献
94.
Mutual Fund Advisory Contracts: An Empirical Investigation 总被引:3,自引:0,他引:3
Daniel N. Deli 《The Journal of Finance》2002,57(1):109-133
We investigate marginal compensation rates in mutual fund advisory contracts and find the following. Equity and foreign fund advisors receive higher marginal compensation than debt and domestic fund advisors. Advisors of funds with greater turnover receive higher marginal compensation. Also, closed-end fund advisors receive higher marginal compensation than open-end fund advisors. Finally, we find that marginal compensation is lower for advisors of large funds and members of large fund families. We argue that these differences in marginal compensation reflect differences in advisor marginal product, differences in the difficulty of monitoring performance, differences in control environments, and scale economies. 相似文献
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