Showing 221 - 240 results of 265 for search '"stock exchange"', query time: 0.06s Refine Results
  1. 221
  2. 222

    Investment preferences of institutional investors in Indonesia: A comparative analysis of pressure-sensitive and pressure-insensitive groups by Dwi Prastowo Darminto, Abdulloh Mubarok, Nurmala Ahmar

    Published 2025-02-01
    “…Data from 938 observations across 253 manufacturing companies listed on the Indonesia Stock Exchange were analyzed using panel data regression. …”
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    Article
  3. 223

    A Hybrid Approach Integrating Multiple ICEEMDANs, WOA, and RVFL Networks for Economic and Financial Time Series Forecasting by Jiang Wu, Tengfei Zhou, Taiyong Li

    Published 2020-01-01
    “…The proposed MICEEMDAN-WOA-RVFL remarkably outperforms the compared single and ensemble benchmark models in terms of forecasting accuracy and stability, as demonstrated by the experiments conducted using various economic and financial time series, including West Texas Intermediate (WTI) crude oil prices, US dollar/Euro foreign exchange rate (USD/EUR), US industrial production (IP), and Shanghai stock exchange composite index (SSEC).…”
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  4. 224

    Capital structure and practices of accrual-based earnings management among non-financial Vietnamese listed firms by Pham Duc Hieu, Hoang Ha Anh

    Published 2023-11-01
    “…The empirical findings are also based for recommendations to control earnings management practices at Vietnamese listed enterprises to enhance accounting information quality, thus contributing to the sustainable development of the Vietnam Stock Exchange.…”
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  5. 225

    The effect of liquidity risk, capital and third-party fund on bank performance with credit risk as intervening variable: Cases in conventional Bank in Indonesia by Sutrisno Sutrisno

    Published 2025-01-01
    “…The research also tests whether credit risk can be an intervening variable in the influence of LDR, CAR and TPF on profitability Design/methodology/approach – The population of this research is 42 conventional banks on the Indonesia Stock Exchange (BEI), with a sample of 24 banks taken using purposive sampling technique. …”
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  6. 226

    The Relationships between ESG Responsibility, Earnings Management, and Tax Aggressiveness: Evidence of the Halo Effect from Indonesia by Erni Ekawati

    Published 2025-01-01
    “…Research Methods: This study is based on a sample of manufacturing companies listed on the Indonesia Stock Exchange between 2015 and 2019. Panel data regression models are used in testing the hypotheses. …”
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  7. 227

    Impact of attention on rare events across industries in Indonesia by Dedi Hariyanto, Rayenda Khresna Brahmana, Wendy Wendy

    Published 2024-04-01
    “…The article focused on all publicly listed industries on the Indonesian Stock Exchange (IDX/BEI). Using time series regression data from 1997 to 2020, the article comprised 5,615 observations across nine sectors. …”
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  8. 228

    Development of Carbon Emission Disclosure Indicators in Indonesia and Analysis of Determining Factors by Septiani Fransisca, Bernadette Robiani, Inten Meutia, Yusnaini Yusnaini

    Published 2024-09-01
    “…The scope of the research is 225 companies sample listed on the Indonesia Stock Exchange. The industry sectors that are the scope of the research are the energy sector, industrial sector, basic material sector, non-cyclical consumer sector, and transportation sector. …”
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    Article
  9. 229

    Earnings Quality in the IFRS Era: Evidence from Morocco by Oubahou Yassine, Elouafa Khalid, Wali Senda

    Published 2024-10-01
    “… Purpose: the aim of this study is to determine whether the introduction of International Financial Reporting Standards (IFRS) by Moroccan companies listed on the Casablanca Stock Exchange will contribute to improving the quality of earnings. …”
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  10. 230

    Determinants of UK companies’ dividend policy by Munther Momany, Khaled Bataineh, Omar Al-Bataineh

    Published 2024-03-01
    “…This study examines the major factors influencing UK companies listed on the Financial Times Stock Exchange (FTSE) 100 stock market's dividend policy (as determined by the dividend payout ratio) over 32 years, from 1990 to 2022. …”
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  11. 231

    Identifying the Economic Criteria for Sustainable Development Reporting Based on Islamic Texts at the Level of Companies by Morteza Yousefi, Rasoul Baradaran Hassanzadeh, Ali Reza Radbin, Mohammad Ali Rabbipoor, Saeed Hassanzadeh Delgsha

    Published 2023-12-01
    “…Findings showed that the components of the economic dimension of sustainability reporting in Islamic texts include 18 components and 268 examples. which can be effective for standardization in the field of sustainable reporting and disclosure regulations of the stock exchange and securites organization teachings and Islamic values.…”
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  12. 232

    A Novel Approach for Portfolio Optimization Using Fuzzy AHP Based on Gustafson Kessel Clustering Algorithm by Yeşim Akbaş, Türkan Erbay Dalkılıç, Serkan Akbaş

    Published 2024-12-01
    “…Proposed model then applied to the 48-month return data set of stocks in the Istanbul Stock Exchange 100 (ISE-100) index to determine which stocks the investor should choose and the investment rates investor should make in these stocks. …”
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  13. 233

    Investigating the Effects of Debt Convergence of Companies on the Speed of Capital Structure Adjustment Considering the Time Horizon by Sayed Mojtaba Ahmadi, Mehdi Agha Beik Zadeh, Afsaneh Soroushyar

    Published 2024-12-01
    “…In other words, the study sought to examine if debt convergence impacted the dynamics of the capital structure adjustment process for companies listed on the Tehran Stock Exchange (TSE).  Materials & MethodsThe study period spanned from 2016 to 2021. …”
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  14. 234

    WHY DO VIETNAMESE FIRMS HOLD CASH? by Nguyễn Thanh Hồng Ân, Hoàng Mai Phương

    Published 2020-12-01
    “…Using a dataset of 199 companies listed on the Ho Chi Minh City Stock Exchange in the period from 2011 to 2018, statistical analyses indicate that the median level of cash holding by net assets of Vietnamese firms is about 5.9%, which is lower than firms in many countries in the region. …”
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  15. 235

    PERAN DIVIDEND POLICY SEBAGAI MODERASI PADA HUBUNGAN FAKTOR KEUANGAN DENGAN RETURN SAHAM by Nur Alimah, Mohamad Agus Salim Monoarfa, Meriyana Franssisca Dungga

    Published 2025-01-01
    “…The object of the research is companies in the consumer goods sector listed on the Indonesia Stock Exchange (IDX) during the 2019-2023 period. The sample criteria include companies that distribute dividends and are listed on the IDX's main board. …”
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  16. 236

    Announcement effect of tender offer share buyback around turmoil period – evidence from India by Suresha B., Kavitha Desai, Rejoice Thomas, Nijumon K John, Elizabeth Renju Koshy

    Published 2024-08-01
    “…The study considered the stocks listed in the National Stock Exchange (NSE) that offered share buyback under tender offer mode during the pre-pandemic period between April 2016 and February 2020 and the post-pandemic period between March 2020 and March 2022. 75 firms in the pre-pandemic period and 43 in the post-pandemic period that announced share buyback under the tender offer method were analyzed. …”
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  17. 237

    Solving the choice puzzle: Financial and non-financial stakeholders preferences in corporate disclosures by Oleh Pasko, Li Zhang, Alvina Oriekhova, Nataliia Gerasymenko, Olena Polishchuk

    Published 2023-12-01
    “…Employing an accrual-based proxy for accounting conservatism and the social contribution value per share from the Shanghai Stock Exchange as a proxy for CSP, the study utilizes a sample of 25,490 year-company observations of A-share listed companies on China’s Shanghai and Shenzhen stock exchanges spanning from 2008 to 2019. …”
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  18. 238

    Water Risk and Mining Firms’ Stock Return by Maryam Davallou, Shirin Mehrali

    Published 2024-06-01
    “…The purpose of the current research is to test the pricing of water risk in mining companies of the Tehran Stock Exchange (TSE) and to estimate the drop in the value of their shares in the event of a water crisis. …”
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  19. 239

    The Role of Exchange Rate As a Moderating Variable in CAR, NPF and BOPO Influencing Profitability by Desman Serius Nazara, Dede Hertina, Listiana Sri Mulatsih, Alfiana, Loso Judijanto

    Published 2025-01-01
    “…As an illustration, take into account Islamic Commercial Banks that routinely release their financial reports for the years 2018–2022 and are listed on the Indonesia Stock Exchange. 35 samples from 7 different organizations were collected for this study using the purposeful sampling technique. …”
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  20. 240

    Company's diversification strategy and crash risk stock prices emphasizing operational slack and management ability by Majid Moradi, Roqaye Talebi, Hamid Reza Pakdaman

    Published 2023-10-01
    “…Therefore, this research investigates the relationship between the company's diversification strategy and the risk of falling stock prices, emphasizing the weakness of operations and management's ability during the year 2016-2022.Methodology: The multivariable regression method and the financial information of 129 companies admitted to the Tehran Stock Exchange have been used to test the research hypotheses. …”
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