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Optimal capital adequacy ratio in an Islamic banking System

کلیدواژه: Capital Adequacy Ratio,Islamic Banks of Iran,Profit Efficiency,Risk

نویسندگان: Ansari Samani Habib, Eisavi Mahmoud, Amoozad Khalili Hasan

ناشر: مجله بین المللی بازرگانی و توسعه - International Journal of Business and Development Studies

With the advent and growth of Islamic banking, various researches have been performed to analyze the performance and mechanisms of regulatory rules of this industry. Due to the special role of banks in the economic systems of countries and the world, significant regulatory and control rules were use... ادامه

سال:2021

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The effects of risk and return on Islamic banking

کلیدواژه:

نویسندگان:

ناشر: Journal of Economic and Management Perspectives - Journal of Economic and Management Perspectives

... ادامه

سال:2017

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Reviewing the Effect of Corporate Governance Quality on Relationship between capital Structure and Additional return on Companies Listed in Tehran Stock Exchange

کلیدواژه: Additional return,Capital structure,Corporate governance quality,Level of debt,Moderate variable

نویسندگان: DIDAR HAMZEH, Beiki Khadijeh

ناشر: بررسیهای حسابداری و حسابرسی - THE IRANIAN ACCOUNTING AND AUDITING REVIEW

Since the composition of the capital structure and corporate governance is one of the factors that can maximize corporates' value and contributes to their survival in today's competitive condition, the main objective of this study is to review the effect of capital structure on additional return wit... ادامه

سال:2017

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Developing a Hybrid Model to Estimate Expected return Based on Genetic Algorithm

کلیدواژه: The results show that applying the hybrid model increases the predictive power of realized return compared to other research models

نویسندگان: Asima Mehdi, Abbaszadeh Asl Amir Ali

ناشر: تحقیقات مالی - Financial Research Journal

Objective: capital asset pricing model (CAPM) has been among the most common models to estimate the expected return. In the standard CAPM model, a) the beta coefficient is fixed and b) the relationship between stock returns and market returns is assumed to be linear. While in financial markets, it i... ادامه

سال:2019

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Investigating the Relationship between State ownership and the Performance of Interest-Free banking in Iran

کلیدواژه: State ownership, rate of return on assets, rate of return on equity, capital adequacy ratio, bank overdraft

نویسندگان: Bahari Ghoshe Bolag Vahid, Taghi Nataj Malekshah Golamhasan, Solgi Mohammad

ناشر: تحقیقات مالی اسلامی - Islamic Financial Research

1. Introduction and Objective
Evaluating banks’ performance is critical due to their fundamental role in ensuring financial stability and promoting economic development. In Islamic banking, operations are governed by Sharia principles, making p... ادامه

سال:2025

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An Analysis of the Unobserved Actions of Iranian Mutual Funds using return Gap Criteria

کلیدواژه: Holding-based performance,evaluation,Mutual funds holdings,Quarterly disclosure,Return Gap,portfolio management

نویسندگان: Ebrahim Nejad Ali, Barakchian Seyyed Mahdi, Ghanipour Majid

ناشر: تحقیقات مالی - Financial Research Journal

Objective: This study aims at measuring the effect of added valued of unobserved actions of mutual funds. Methods: Using return Gap criteria– the difference between the return of hypothetical and actual return – the researchers examined the effect of indiscernible activities in mutual ... ادامه

سال:2018

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The Relationship between Corruption, Corporate Governance, and Firm Financial return at the Provincial Level

کلیدواژه: Corruption, Corporate governance, Financial Return, Return on Assets (ROA), Tobin’s Q

نویسندگان: Esmaeili Amir Mohamad, Nasrollahi Zahra, Aref Manesh Zohreh

ناشر: مدیریت دارایی و تامین مالی - Journal of Asset Management and Financing

Abstract
Researchers have often examined corruption based on perceptual criteria and nationally. The innovation of this research was to take the two advantages of objective documentation and local dimensions in defining the corruption index. This study used a local and objectiv... ادامه

سال:2022

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Effect of Exchange rate Change Shocks on Systemic Risk Index Among Mutual Funds

کلیدواژه: Mutual Fund,systemic risk,exchange rate change shock,multivariate GARCH

نویسندگان: EBADI JAFAR, ELAHI NASER, Houshmand gohar Saedeh

ناشر: پژوهش ها و سیاست های اقتصادی - Journal of Economic Research and Policies

Financial stability is amongst the issues that have been increasingly considered over the past two decades. Today, money and capital markets play a substantial role in the development of societies, but at the same time, this development will be problematic if it is not accompanied by a program, cont... ادامه

سال:2019

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Probabilistic Modeling and Estimation of Flow rate of Sewage Treatment Plant Using Monte Carlo Hybrid Method

کلیدواژه: Probability Distribution,Monte Carlo,Lognormal,Fourier Series,Wastewater Inflow

نویسندگان: PIRI J., PIRZADEH B., KESHTEGAR B., GIVEHCHI M.

ناشر: آب و فاضلاب - Water and Wastewater

One of the most important results of hydraulic and hydrological modeling of the urban drainage network is hydrograph estimation. Annual journals on hydraulic and hydrological problems, especially in developing countries, are full of missing data, discrete and continuous gaps in most hydrological dat... ادامه

سال:2020

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Determination of Social Discount rate for Economic Policy-making According to the Sustainability and Intergenerational Justice Criterion

کلیدواژه: Social Discount Rate,Economic Growth,Sustainability,Intergenerational Justice

نویسندگان: Hoseiny Seyyed Aqil

ناشر: راهبرد اقتصادی - ECONOMIC STrateGY

"Social discount rate" (SDR) is one of the most important macro variables for policy making that has a crucial effect on the other macro variables such as growth and sustainability and ethical variable such as intergenerational justice. The main problem of this research is the analysis of the SDR ef... ادامه

سال:2019

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