The impact of the COVID-19 pandemic on consumer and business confidence indicators D Teresiene, G Keliuotyte-Staniuleniene, Y Liao, R Kanapickiene, R Pu, ... Journal of Risk and Financial Management 14 (4), 159, 2021 | 63 | 2021 |
Lithuanian stock market analysis using a set of GARCH models D Teresienė Journal of Business Economics and Management, 349-360, 2009 | 55 | 2009 |
Sustainable funds’ performance evaluation XG Yue, Y Han, D Teresiene, J Merkyte, W Liu Sustainability 12 (19), 8034, 2020 | 48 | 2020 |
RELATIONSHIP BETWEEN STOCK MARKET AND MACROECONOMIC VOLATILITY. D Teresienė, A Aarma, G Dubauskas Transformations in Business & Economics 7 (14), 2008 | 41 | 2008 |
Sustainable economic growth support through credit transmission channel and financial stability: in the context of the COVID-19 pandemic D Teresienė, G Keliuotytė-Staniulėnienė, R Kanapickienė Sustainability 13 (5), 2692, 2021 | 35 | 2021 |
Optimalaus vertybinių popierių portfelio sudarymo ypatumai D Vasiliauskaitė Ekonomika 67 (2), 117-130, 2004 | 34 | 2004 |
The interaction between banking sector and financial technology companies: Qualitative assessment—a case of lithuania R Pu, D Teresiene, I Pieczulis, J Kong, XG Yue Risks 9 (1), 21, 2021 | 33 | 2021 |
The impact of COVID-19 on European financial markets and economic sentiment R Kanapickienė, D Teresienė, D Budrienė, G Keliuotytė-Staniulėnienė, ... Economy & business 14, 144-163, 2020 | 23 | 2020 |
Performance measurement issues in central banks D Teresienė Entrepreneurship and Sustainability Issues 6 (1), 176-189, 2018 | 15 | 2018 |
How COVID19 pandemic affect film and drama industry in China: an evidence of nonlinear empirical analysis J Hu, XG Yue, D Teresiene, I Ullah Economic research-Ekonomska istraživanja 35 (1), 2254-2272, 2022 | 13 | 2022 |
How COVID19 pandemic affect film and drama industry in China: an evidence of nonlinear empirical analysis (2021) Economic Research-Ekonomska Istrazivanja J Hu, XG Yue, D Teresiene, I Ullah DOI, 0 | 12 | |
Portfolio construction and management during the period of financial crisis D Teresiene, P Paskevicius Economics and Management, 195-201, 2009 | 11 | 2009 |
Autoregressive conditional skewness, kurtosis and Jarque-Bera in Lithuanian stock market measurement G Dubauskas, D Teresienė Engineering Economics 45 (5), 25-30, 2005 | 11 | 2005 |
Disclosure of non-current tangible assets information in private sector entities financial statements: The case of Lithuania R Kanapickiene, G Keliuotyte-Staniuleniene, D Teresiene Economies 9 (2), 78, 2021 | 10 | 2021 |
Macroeconomic determinants of credit risk: evidence on the impact on consumer credit in central and Eastern European countries R Kanapickienė, G Keliuotytė-Staniulėnienė, D Teresienė, R Špicas, ... Sustainability 14 (20), 13219, 2022 | 8 | 2022 |
MODELING STOCK PRICE OF LITHUANIAN MANUFACTURE OF MILK AND DAIRY PRODUCTS COMPANIES'VOLATILITY WITH GARCH MODELS. D Teresienė, G Dubauskas Management Theory & Studies for Rural Business & Infrastructure Development …, 2008 | 7 | 2008 |
The impact of COVID-19 pandemic on government bond yields Y Zhou, D Teresienė, G Keliuotytė-Staniulėnienė, R Kanapickiene, ... Frontiers in Environmental Science 10, 881260, 2022 | 5 | 2022 |
Can economic factors improve momentum trading strategies? The case of managed futures during the COVID-19 pandemic R Guobužaitė, D Teresienė Economies 9 (2), 86, 2021 | 5 | 2021 |
Counterparty risk management framework: theoretical approach in COVID-19 environment D Teresiene, B Gudaviciute Technium Soc. Sci. J. 17, 184, 2021 | 4 | 2021 |
Liquidity risk: Intraday liquidity and price spillovers in euro area sovereign bond markets L Jurkšas, D Teresienė, R Kanapickienė Risk governance & control: financial markets & institutions. 11 (2), 18-31, 2021 | 3 | 2021 |