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کلیدواژه: Conditional Value at Risk,Mutual Funds,Quantile Regression,Systemic Risk
نویسندگان: Shahbazin Fereshteh, GHALIBAF ASL HASAN, Seighali Mohsen, peymani foroushani moslem
ناشر: IRANIAN JOURNAL OF FINANCE - IRANIAN JOURNAL OF FINANCE
Mutual funds are one of the most paramount investment mechanisms in financial Markets. By playing a financial intermediary role, they give nonprofessionals access to professionally managed portfolios of securities and provide numerous benefits for both the Capital Market and investors simultaneously... ادامه
سال:2019
مشاهده/دانلود
کلیدواژه: Credit Risk, :Operational Risk:, Liquidity Risk, Market Risk:, corporate governance, :Capital Adequacy
نویسندگان: Hashemi Alireza, Chavoshi Seyyed Kazem
ناشر: پژوهش های راهبردی بودجه و مالیه - Journal of Budget and Finance Strategic Research
Although banks and financial institutions always face problems and challenges during their activities for various reasons, the main reasons for banking problems are the lack of standards, regulations and single requirements in the world banking industry, lack of attention to Risk management and non-... ادامه
سال:2023
کلیدواژه: Banking Industry,Credit Risk,Corporate Governance,Tehran Stock Exchange
نویسندگان: Akbarian Saber, ANVARY ROSTAMY ALI ASGHAR, REZAEI NADER, ABDI RASOOL
ناشر: - Journal of Money and Economy - Journal of Money and Economy
The primary purpose of this research is to investigate the impacts of corporate governance on Credit Risk in the Iranian banking industry. The sample consists of 20 banks listed on the Tehran Stock Exchange during 2011-2016, using panel data. In this research, Credit Risk and corporate governance ar... ادامه
کلیدواژه: Corporate Governance,Liquidity Risk,Credit Risk
نویسندگان: MARANJORY MEHDI
ناشر: مطالعات حسابداری و حسابرسی - JOURNAL OF ACCOUNTING AND AUDITING STUDIES
The purpose of this study was to investigate the effect of corporate governance on the relationship between Liquidity Risk and Credit with the performance of banks accepted in Tehran Stock Exchange. In line with this goal, 10 banks were selected as examples during the 2018-2014 periods. To test the ... ادامه
سال:2022
کلیدواژه: Mutual funds, Liquidity Risk Management, Liquidity Risk Management Tools
نویسندگان: Hosseini Seyed Hossein, Ebrahimi Sarv Oliya Mohammad Hassan, Amiri Maysam, Peymanifurushani Moslem
ناشر: مدیریت دارایی و تامین مالی - Journal of Asset Management and Financing
The possibility of repurchasing the investment units issued by the fund is a distinctive feature of open-end mutual funds, which exposes these funds to Liquidity Risk. The main challenge of Liquidity management of these funds is providing cash during a crisis and also facing ... ادامه
کلیدواژه: Corporate Disclosure,Financial Risks,Corporate Risks,Voluntary Disclosure
نویسندگان: Miri Ghahdarijani Nazanin, Arbabian Ali Akbar
ناشر: پژوهش های حسابداری مالی و حسابرسی - The Financial Accounting and Auditing Researches
The present study fundamental Risk exposure from the great Iranian companies in terms of sales / income Tehran Stock Exchange have been accepted, and contextual factors exposure in connection with the corporate governance. Within the framework of the current companies, information about the Risk of ... ادامه
کلیدواژه:
نویسندگان: SOLGI MOHAMMAD
ناشر: پژوهش های پولی-بانکی - Journal of Monetary and Banking Research
To achieve optimal Risk-taking in financial institutions, effective corporate governance mechanism, as a Risk management tool, perform better than the legal requirements. So, in this research, we investigate the impact of corporate governance on Capital Adequacy and deposit cost coverage as Risk ind... ادامه
سال:2018
کلیدواژه: Risk Management,Corporate Governance and Profit Fluctuations
نویسندگان: Saraf Fatemeh, Rokhchekar Hosein, Partovi Parsa
The reported Profit include important financial data That's when Decisions are taken by individuals. Financial analysts generally consider reported earnings as a prominent factor in their own judgments and judgments. The purpose of this study was to investigate The relationship between Risk manageme... ادامه
کلیدواژه: Credit Risk, corporate governance, Private banks, public banks, Shareholder rights, Board size
نویسندگان: Dorafshanian Sareh, Salimifar Mostafa, Samadi Ali Hussein
ناشر: اقتصاد پولی، مالی - Monetary and Financial Economics
Abstract Expanded 1-INTRODUCTIONThis study aimed to estimate and compare the effect of applying some principles of corporate governance on Credit Risk of selected private and public banks in Iran during 2011-2018. In the present study, after calculation of the Credit Risk by using the Basel Committe... ادامه
سال:2021
کلیدواژه: Health insurance,Health policy,Risk management
نویسندگان: Ghaemi Farzaneh, ASSARI ARANI ABBAS, SADEGHI HOSSEIN, AGHELI LOTFALI
ناشر: JOURNAL OF HEALTH MANAGEMENT AND INFORMATICS - JOURNAL OF HEALTH MANAGEMENT AND INFORMATICS
Introduction: Reclassification Risk in the health insurance Market happens when premium prices are determined based on the health level. It is necessary for insurance applicants to manage this Risk due to uncertainty about the individual’ s health status in later periods. Guaranteed renewable... ادامه
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