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Designing a Hybrid Intelligent Model for Prediction of Stock Price Golden Points

کلیدواژه: financial markets,forecasting,stocks golden points,Data mining

نویسندگان: Moshari Mohammad, Didehkhani Hosein, Khalili Dameghani Kaveh, ABBASI EBRAHIM

ناشر: دانش سرمایه گذاری - INVESTMENT KNOWLEDGE

The purpose of this research is to provide an intelligent model for prediction of golden Points on stock price chart as a decision support system. For conduction of this research, the data of the automotive and parts manufacturing industry during 2001 through to 2016 were used. First, the obtained r... ادامه

سال:2019

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The Effect of Corporate Governance System Theory Tools on Financial Risk Using Generalized Method of Moments (GMM)

کلیدواژه: Keywords: Credit Risk and Illiquidity Risk,Market risk,Corporate Governance

نویسندگان: Malamiri Firooz Ahmad, Ramezani Javad, Rezaeyan Ramezan

ناشر: INTERNATIONAL JOURNAL OF FINANCE AND MANAGERIAL ACCOUNTING - INTERNATIONAL JOURNAL OF FINANCE AND MANAGERIAL ACCOUNTING

The purpose of this article is to investigate the effect of corporate governance system monitoring tools on the financial Risk of companies listed on the Tehran Stock Exchange. The statistical sample of the study included 127 companies during the period 2011 to 2018. In this study, three variables o... ادامه

سال:2022

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The Role of Modern Technologies in the Situational Prevention of Terrorism Financing in Digital Banking

کلیدواژه: Terrorism Financing,terrorist financing,Situational prevention,Digital Banking,terrorism

نویسندگان: Darabi Shahrdad, Samavati Pirouz Amir, Chegeni Mahdi, Valizadeh Maryam

ناشر: حقوق جزای بین الملل - International Criminal Law

Terrorism financing, as the financial system supporting terrorist activities, has become one of the most critical challenges to national and international security. Consequently, its prevention is of paramount importance in countering the funding of terrorism. This article examines the role of moder... ادامه

سال:2025

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Threshold Effect of Islamization of the Environment on Reducing the Risk of the Banking Sector in Islamic Countries:Panel Smooth Transition Regression (PSTR) Method

کلیدواژه: Islamic environment, banking risk, banking stability, Islamic banking, soft panel transition regression (PSTR)

نویسندگان: Rezai Ahmadali, Panahi Brojerdi Mohammad Saied

ناشر: جستارهای اقتصادی با رویکرد اسلامی - Journal of Economic Essays; an Islamic Approach

The growing importance of Sharia-based financing in banking systems has stimulated scientific research on the factors that shape the way of behavior, how to compete with conventional banks, and how Islamic banks react to various Risks and shocks. Based on this, the main goal of this article is to in... ادامه

سال:2023

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Bank Efficiency Forecasting Model Based on the Modern Banking Indicators Using a Hybrid Approach of Dynamic Stochastic DEA and Meta-Heuristic Algorithms

کلیدواژه: Dynamic stochastic data envelopment analysis,Fuzzy programming,Hybrid meta-heuristic algorithm,Modern banking,Monte Carlo simulation

نویسندگان: Yaghoubi Ali, Fazli Safar

ناشر: مجله ایرانی مطالعات مدیریت (Interdisciplinary Journal of Management Studies) - Interdisciplinary Journal of Management Studies

Evaluating the efficiency of banks is crucial to orient their future decisions. In this regard, this paper proposes a new model based on dynamic stochastic data envelopment analysis in a fuzzy environment by considering the Modern banking indicators to predict the efficiency of banks, which belongs ... ادامه

سال:2022

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Evaluating and Comparing Systemic Risk and Market Risk of Mutual Funds in Iran Capital Market

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

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Liquidity Risk Management Framework of Mutual Funds

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

سال:2023

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Risk Analysis of Sharia Bank Financing Contract

کلیدواژه: Contract ؛ Financing Risks ؛ Sharia Banks

نویسندگان: Riduwan, Riduwan ؛ Danupranata, Gita

ناشر: Journal of Islamic Economics, Banking and Finance

Non-Performing Financing (NPF) is the main and biggest Risk for Islamic banks, therefore the ability of Islamic banks to identify, measure, monitor and control financing and capital Risk is very important. However, NPF is strongly influenced by internal and external factors of Islamic banks and the ... ادامه

سال:2020

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Islamic Banking and Risk, An adaptive analysis

کلیدواژه: Islamic Banking,Risk Management,Credit risk,Liquidity risk,Market risk,Operational risk

نویسندگان: ALAMOLHODA SEYYED SAJJAD

ناشر: اقتصاد مالی - Financial Economics

Islamic banking has unique features compared with conventional banking in attracting and using financial resources. In this type of banking, the essential principle is the division of profits and losses from transactions as well as avoiding interest or usury caused these financial institutions are d... ادامه

سال:2018

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