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Development of Hybrid Bayesian Network Model for Multi-Hazards Risk Assessment of Irrigation Network

کلیدواژه: Risk Assessment,Agricultural Water System,Improper Performance of the Ditch-Riders,Operational Losses,Roodasht Irrigation Network

نویسندگان: BOZORGI ATIYEH, ROOZBAHANI ABBAS, HASHEMY SHAHDANY MEHDY

ناشر: تحقیقات آب و خاک ایران - Iranian Journal of Soil and Water Research

Since the majority of water resources is used for agricultural purposes, irrigation and drainage Networks become important. Moreover, these Networks are threatened by various natural and unnatural hazards that each one can affect the performance of the Network. This research seeks to develop a Risk ... ادامه

سال:2021

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The Prediction of the Risk of Financial Bankruptcy Using Hybrid Model in Tehra

کلیدواژه: Risk of Financial Bankruptcy,Accounting Variables,Market-Driven Variables,Hybrid Model,Neural Network

نویسندگان: Ramooz Najmeh, MAHMOUDI MARYAM

ناشر: راهبرد مدیریت مالی - JOURNAL OF Financial MANAGEMENT STRATEGY

Predicting the Risk of Financial bankruptcy is one of the most important issues in the field of companies’ Financial decision. Accordingly, a variety of models that each is different in terms of predictor variables and techniques has been introduced so far. The use of the combination of accou... ادامه

سال:2017

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Predicting Corporate Financial Distress Using a Hybrid Model of Artificial Immune System and Wavelet Neural Network (Artificial Intelligence)

کلیدواژه: Financial Distress,Financial Prediction,Wavelet Neural Network,Artificial Immune System,Logistic Regression,Hybrid Algorithm

نویسندگان: Mehrabi Reza, Hematfar Mahmoud, Sefati Farid

ناشر: تکنولوژی در کارآفرینی و مدیریت استراتژیک - Journal of Technology in Entrepreneurship and Strategic Management

In today's Financial landscape, the prediction of corporate Financial distress plays a crucial role in Risk management and economic stability. This study aims to develop a hybrid predictive model that combines the Artificial Immune System (AIS) with the Wavelet Neural Network (WNN) to forecast finan... ادامه

سال:2024

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The Evaluation of Profitability, Corporate Social Responsibility, and Financial Risk in Asset Management Companies in Iran

کلیدواژه: Asset management companies,Accounting information,Corporate social responsibility,Financial agencies,Financial risks

نویسندگان: Hekmat Hanieh, Keshavarz Mirza Mohammdi Farnoosh

ناشر: تحقیقات مالی - Financial Research Journal

Objective: There are many perspectives on the interplay of profitability, Corporate social responsibility (CSR), and Financial Risk in different industries. The purpose of this paper is to examine the factors affecting the success of asset management companies (AMC) in Iran from a Financial and soci... ادامه

سال:2023

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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 Impact of Corporate Governance on Financial Performance and Risk of Listed Insurance Companies in Tehran Stock Exchange

کلیدواژه: Corporate Governance,business risk,financial risk,evaluate performance,insurance companies

نویسندگان: PAKMARAM ASGAR, Lotfi Bahram

ناشر: پژوهشنامه بیمه - Iranian Journal of Insurance Research

Poor governance of companies like Enron and WorldCom and the drastic fall of stock markets at the beginning of this century have shaped corporate governance. The logic of corporate governance offers an alternative view and focuses on creating value for a large number of stakeholders. On the other ha... ادامه

سال:2017

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Investigating the Effects of Strength of Corporate Governance Mechanisms on Systemic Risk for Financial Institutions Listed on Tehran Stock Exchange

کلیدواژه: Corporate governance,Expected shortfall of capital,Marginal expected shortfall,Systemic risk,TOPSIS

نویسندگان: Nadi Qomi Vali, Hosseini Seyed Farhang, Mostafavi Seyedeh Fatemeh

ناشر: تحقیقات مالی - Financial Research Journal

Objective: The systemic Risk is the Risk of a crisis in the Financial sector and its transmission to the economy. Due to the importance of social damage caused by the Financial crisis, it is necessary to pay attention to the systemic Risk and its factors. The purpose of the present study is to inves... ادامه

سال:2020

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Estimation of Reference Evapotranspiration Using Artificial Neural Network Models and the Hybrid Wavelet Neural Network

کلیدواژه: Water Requirement,Davbechies Wave-let,Temperature,Statistical Indices,Shahrekord

نویسندگان: GANJI KHORRAMDEL N., Hoseini S. M. R.

ناشر: علوم آب و خاک (علوم و فنون کشاورزی و منابع طبیعی) - Journal of Water and Soil Science

Estimation of evapotranspiration is essential for planning, designing and managing irrigation and drainage schemes, as well as water resources management. In this research, artificial neural Networks, neural Network wavelet model, multivariate regression and Hargreaves' empirical method were used to... ادامه

سال:2019

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Identification and Ranking of Jurisprudential-Legal and Economic-Financial Challenges and Harms of Private Sector Banking in the Banking Network of the Islamic Republic of Iran

کلیدواژه: Private Banking Challenges, Inefficiency in Resource Allocation, Overdraft of Private Banks, Regulation of Private Banks in Emerging Money Markets, Legal Challenges of Private Banks

نویسندگان: Shariatinia Mohammad Hossein, Qavam Mohammad Hossein

ناشر: تحقیقات مالی اسلامی - Islamic Financial Research

This study tries to explain and criticize the presence of private banks in the developing money market ecosystem of a developing country such as the Islamic Republic of Iran, while explaining all aspects of private sector banking in its theoretical foundations. For this purpose, first the jurisprude... ادامه

سال:2023

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Analysis of the Impact of Financial Supervision Components on the Credit Risk of Equity Mutual Funds in Iran: A Panel Quantile Regression Approach

کلیدواژه: Financial Supervision,Equity Mutual Funds,Credit Risk,Panel Quantile Regression

نویسندگان: MASOUDI SAHEBEH, CHESHOMI ALI, Razmi Seyed Mohammad Javad

ناشر: مدلسازی اقتصادسنجی - JOURNAL OF ECONOMIC MODELING

Mutual funds are expanding as one of the Financial intermediaries. But the presence of asymmetric information in Financial markets and the possibility of encouraging fund managers to make Risky selections can jeopardize the interests of investors. Financial supervision by controlling the Riskiness o... ادامه

سال:2021

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