نتایج جستجو برای: portfolio assessment

تعداد نتایج: 579698  

Journal: :iJET 2008
Detken Scheepers Dolf J. J. Jordaan El-Marie Mostert

The Universtiy of Pretoria has been using an electronic assessment system since 1991 and a learning management system (LMS) since 1998. Both systems required urgent upgrading. In 2003 a further need arose in the Faculty of Health Sciences, for an electronic portfolio system. The Department for Education Innovation has thus implemented three new systems during the past three years: a new electro...

2012
Michele Leonardo Bianchi Agostino Chiabrera

This paper describes the Italian real estate investment funds industry, providing an overview of the distinctive features and risk factors of this sector. By using accounting and supervisory data, we: (1) compute the returns of the real estate assets in the portfolio of these funds; (2) construct a price index and a total return index of the real estate assets held by the Italian funds; (3) def...

Journal: :Advances in Science, Technology and Engineering Systems Journal 2017

Journal: :Journal of Information Technology Education: Research 2003

Journal: :Jurnal obsesi : jurnal pendidikan anak usia dini 2023

In today's era of digital-based learning management, educators must have knowledge and skills in the use digital technology teaching activities. This study aims to analyze data on competence portfolio assessment Early Childhood Care Education (ECCE) teachers who teach at Kindergarten Playgroup city Bandung. The research method used was descriptive with a qualitative approach. informants include...

2007
Til Schuermann

This entry provides a brief overview of credit migration or transition matrices, which characterize past changes in credit quality of obligors (typically firms). They are cardinal inputs to many risk management applications, including portfolio risk assessment, the pricing of bonds and credit derivatives, and the assessment of regulatory capital as is the case for the New Basel Accord. I addres...

Forod Najafi Mohammad Reza Mozaffari

The portfolio is a perfect combination of stock or assets, which an investor buys them. The objective of the portfolio is to divide the investment risk among several shares. Using non-parametric DEA and DEA-R methods can be of great significance in estimating portfolio. In the present paper, the efficient portfolio is estimated by using non-radial DEA and DEA-R models. By proposing non-radial m...

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