نتایج جستجو برای: assets ratio
تعداد نتایج: 524441 فیلتر نتایج به سال:
This study, titled ‘The Influence of Current Ratio, Return On Assets, and Debt to Equity Ratio on Stock Prices Agricultural Companies the IDX List,’ aimed see how financial indicators like current ratio, return assets, debt equity affect stock prices. Secondary data for this study came from BEI website in form yearly reports, as well finance.yahoo.com prices agricultural enterprises. Purposive ...
index tracking is the process of developing a portfolio that reproduces the performance of an index. the tracker portfolio has relatively good diversity and low turnover and low transaction costs. in this paper we applied a binary programming model for index tracking problem. in this model the number of assets for portfolio construction is defined by portfolio manager. the robust optimization f...
the main objective of this article is to present a comparative study of capital assets pricing models (capm) with extrapolating capital assets pricing models (x-capm) of companies admitted in tehran exchange market which is accomplished for the first time by investigators of this research in iran. accordingly, the statistical population under study of this research includes all companies admitt...
This research was conducted with the aim of knowing effect Current Ratio, Debt to Assets Ratio and Working Capital Turnoveron Return On in plastic packaging companies listed on Indonesia Stock Exchange. The population this study is all company Exchange while sample that meets criteria for sampling observations carried out seven years as many six yearsplastic approach uses associative research.D...
one of the most important concepts in financial statement analysis and evaluation is conservatism. thus recognition of the factors which influence conservatism can considerably help the investor in managing the selection of more conservative assets properly and avoiding the untrue exposure of financial statements. this research is about to consider the relation of effective factors on organizat...
the purpose of this paper is to examine the impact of internal and external factors on the ratio of outstanding claims in those banks which are accepted in tehran stock exchange. for this purpose, we used the data obtained from 8 banks and credit institution active in the tehran stock exchange and using data regression panel. the present survey was examined over the period 2011 till 2015. the ...
Empirical data and previous research have shown that capitalization rates vary across different MSA markets as well as between different product types. The cause of these variations is not fully understood however. Theory would suggest that the cause of variation should be income growth expectations, or risk variation. Surprisingly, ex-post data comparing income growth and cap rates shows almos...
In the study, it is aimed to investigate determinants of risk-taking behavior banks traded in Borsa Istanbul Bank Index period December 2000 - 2020 by panel cointegration and causality analysis. Risk-taking measured with Z-Score. Ratios related financial structure (Equity/Total Asset), asset quality (Net Credit/Total performance Profit/Total liquidity (Amihud Ratio) franchise value ((Market Val...
The purpose of this study is to determine the impact discount rate, cash ratio, and selective credit control simultaneously each variable on development Islamic venture capital assets. This uses an associative approach that asks relationship between two or more variables. research results confirm that; (1) Discount Rate has no effect assets, as can be seen from statistical showing value α (0.13...
This study aims to analyze the return on assets and Debt Equity ratio firm value. research method is quantitative. In this there are two independent variables, namely Return Assets Equity, dependent variable For population in PT. Bank Rakyat Indonesia, Tbk for 2012-2021 period, as well sampling technique used study, purposive method. The results of show that (ROA) has a significant negative eff...
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