Faktor Keuangan dan Return on Asset melalui Debt Equity Ratio

نویسندگان
چکیده

برای دانلود باید عضویت طلایی داشته باشید

برای دانلود متن کامل این مقاله و بیش از 32 میلیون مقاله دیگر ابتدا ثبت نام کنید

اگر عضو سایت هستید لطفا وارد حساب کاربری خود شوید

منابع مشابه

Debt/Equity Ratio and Asset Pricing Analysis

Debt/Equity Ratios and Asset Pricing Analysis

متن کامل

Debt, Equity and Warrants

This paper considers project financing under adverse selection and moral hazard and makes three contributions. First, the issue of combinations of debt and equity is explained as the outcome of the interaction between adverse selection and moral hazard. Second, it shows that, in the presence of moral hazard, adverse selection may result in the conversion of negative into positive NPV projects l...

متن کامل

comparative review of relation between the debt ratio and return on assets in various industries

the debt is one of the principal component of accounting equation and capital structure of most companies. during last fifteen years the usage trend of debt was increasingly improved in companies' eps. american ones. in this research we tried to answer the following question: is there any meaningful relation between debt ratio and return on assets (roa) in sec of tehran and its industries?...

متن کامل

Debt Financing in Asset Markets

The widely used short-term debt such as overnight repos and commercial paper is regarded as one of the main sources of instability leading to the distress of many …nancial institutions during the …nancial crisis of 2007-2008. What explains the popularity of shortterm debt in …nancing asset market investments? Geanakoplos (2010) presents a dynamic model of the joint equilibrium of asset markets ...

متن کامل

Legal Determinants of the Return on Equity

Recent work documents that better legal institutions are associated with broader equity markets. We investigate whether differences in legal institutions also help explain the international cross-section of expected stock returns. Three main regularities emerge. First, total stock market returns are positively correlated with overall measures of the quality of institutions, such as judicial eff...

متن کامل

ذخیره در منابع من


  با ذخیره ی این منبع در منابع من، دسترسی به آن را برای استفاده های بعدی آسان تر کنید

ژورنال

عنوان ژورنال: Jurnal Akuntansi Indonesia

سال: 2020

ISSN: 2655-9552,0216-6747

DOI: 10.30659/jai.9.2.106-130