Showing 2,001 - 2,020 results of 5,590 for search '"financier"', query time: 0.05s Refine Results
  1. 2001

    MARKET VALUE ADDED (MVA), NILAI TUKAR RUPIAH, DAN LABA AKUNTANSI TERHADAP RETURN SAHAM PADA PERUSAHAAN TELEKOMUNIKASI YANG TERDAFTAR DI BEI by Aniek Murniati

    Published 2024-07-01
    “…Additionally, the rupiah exchange rate, linked to macroeconomic conditions, can affect the financial performance of companies. The study also investigates the influence of accounting profits on stock returns, highlighting the significance of financial information in investment decision-making. …”
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    Article
  2. 2002

    Le football professionnel en Europe est-il en crise ? Une réponse régulationniste by Jérémie Bastien

    Published 2017-07-01
    “…From researchers’ point of view, the European professional football needs regulation because it is in financial crisis. That means it requires more regulatory measures to control clubs, as in the North American sports. …”
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    Article
  3. 2003

    A Football Club's Strategic Performance Management by L.C. Panescu, M. Dragomir

    Published 2024-12-01
    “…The Balanced Scorecard (BSC), which offers an integrated framework for measuring and managing performance, can assist clubs in evaluating both financial and non-financial activities. This study's context and content greatly advance our knowledge of the football industry and offer a thorough and all-encompassing set of contributions to the field of business academia. …”
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    Article
  4. 2004

    Tail Risk in the Chinese Vegetable Oil Market: Based on the EGAS-EVT Model by Yueqiang Zhang, Guanghui Han, Hui Xie, Zixing Wang

    Published 2022-01-01
    “…This paper uses extreme value theory and exponential generalised autoregressive score models to estimate the tail extremes of financial return series. The peak-over-threshold method based on the generalised pareto distribution is combined with the EGAS models and the nonparametric quantile method is used to determine the thresholds in the POT method, which is used to calculate the value-at-risk of financial markets and to perform backtesting. …”
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    Article
  5. 2005

    Key factors of neobanking's occurence by Timotej Jagrič, Aleksandra Amon

    Published 2023-07-01
    “…We use random-effects model to analyse 13 financial, economic, and cultural–geographical factors. …”
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    Article
  6. 2006

    Mechanism for developing a dividend policy, basic algorithms by U. S. Karimov

    Published 2020-12-01
    “…The article is devoted to the strategic block of corporate finance – the formation of the mechanism of dividend policy in the company and its role in the processes of accumulation and distribution of property. Since financial markets are characterized by high mobility and volatility, the dividend policy and the financial mechanism of corporations are constantly evolving. …”
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    Article
  7. 2007
  8. 2008

    Innovative technologies for growing digital maturity in auditors by N. V. Ruban-Lazareva

    Published 2024-10-01
    “…Visualization of the reporting verification results provides for their visibility for users in order to immediately make management decisions aimed at sustainable financial development.…”
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    Article
  9. 2009

    IDX Carbon dan Kinerja Keuangan: Dampak Pembelian Karbon terhadap Profitabilitas dan Persepsi Investor by Nur Asiah

    Published 2025-01-01
    “… The specific objective of this research is to analyze carbon purchases on a company's financial performance, especially in the context of profitability and investor perception. …”
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    Article
  10. 2010

    Estimating Ruin Probability in an Insurance Risk Model Using the Wang-PH Transform Through Claim Simulation by Weenakorn Ieosanurak, Adisak Moumeesri

    Published 2025-02-01
    “…The accurate estimation of ruin probability is a fundamental challenge in non-life insurance, impacting financial stability, risk management strategies, and operational decisions. …”
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    Article
  11. 2011
  12. 2012

    SOURCES OF FINANCING TASKS FOR PUBLIC HIGHER EDUCATION INSTITUTIONS: FINDINGS IN LIGHT OF THEIR REPORTING by Aleksandra Pisarska

    Published 2020-12-01
    “…In turn, in the empirical part, findings were based on the results of a case study supported by observation in a multi-field participating university. The entity's financial statements were also used. On the basis of the research results, the structure of financing sources for the studied public institution of higher education was determined, indicating the possibility of using the entity's financial reporting for this purpose. …”
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    Article
  13. 2013

    Activity of oil companies of Iraq and their role in the world economy by I. M. M. Mohammed, V. Pizengolts

    Published 2019-09-01
    “…Сurrently, oil market remains one of the most demanded types of energy resources, the trade of which can be called the most important element of modern world economic relations.The global market for oil and oil products is characterized by high volatility, which requires the development of various strategies for insuring financial losses. Futures contracts are one of the main market financial risk management tools. …”
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    Article
  14. 2014

    Reinforcement learning for deep portfolio optimization by Ruyu Yan, Jiafei Jin, Kun Han

    Published 2024-09-01
    “…Portfolio optimization is an important financial task that has received widespread attention in the field of artificial intelligence. …”
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    Article
  15. 2015
  16. 2016

    Systemic Risk Assessment: Aggregated and Disaggregated Analysis on Selected Indian Banks by Mohammed Arshad Khan, Preeti Roy, Saif Siddiqui, Abdullah A. Alakkas

    Published 2021-01-01
    “…Exposure of the banking system to the Global Financial Crisis attracted attention to the study of riskiness and spillover. …”
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    Article
  17. 2017

    Effect of asset quality, rentability, and liquidity on the book value of bank companies listed on the idx in 2015-2020 by Effendi Tjahjadi, Riris Rotua Sitorus

    Published 2024-11-01
    “…Asset quality, profitability and liquidity scores are indicators of financial performance that can be used by fund owners to determine the condition of a bank's financial health when investing in banking stocks based on the right decisions. …”
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    Article
  18. 2018

    THE IMPACT OF CORPORATE GOVERNANCE PRACTICES ON POST-MERGER PERFORMANCE by Ali İhsan Akgün

    Published 2021-11-01
    “…We also examine as to whether the use of International Financial Reporting Standards (IFRS) improves corporate transparency, therefore, increasing financial reporting quality. …”
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    Article
  19. 2019

    No Way Back? ECB’s Forward Guidance and Policy Normalisation by Jakob de Haan

    Published 2025-01-01
    “…The ECB’s forward guidance steered financial markets in the desired direction and, in combination with other unconventional policies, probably helped to raise inflation when it was below target. …”
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    Article
  20. 2020