Results 61 to 70 of about 163,894 (289)
This study examines the causality relationship between portfolio investments and credit default swaps (CDS) in Türkiye. Analysing the dynamics between portfolio investments and CDS premiums, two important variables for financial markets is critical to ...
Sümeyye Uzun, Asiye Küçükosman
doaj +1 more source
Does conditional conservatism affect credit ratings? An analysis of Korean KRX bond issuers [PDF]
We examine whether there is a relationship between conditional conservatism and credit ratings. Credit rating levels are the ‘opinion‘ of credit rating agencies about a firm’s default risk based on financial statements data and corporate governance ...
Lim, Hyoung Joo, Mali, Dafydd
core
ABSTRACT While ESG (environmental, social, and governance) is emphasized among listed companies for their stakeholders and ESG disclosures, ESG engagement among unlisted companies has been rarely examined due to data limitations. This is particularly problematic for the agri‐food industry that has significant impacts on the environment and consists ...
Ying Wang, Satoru Shimokawa
wiley +1 more source
PENGUKURAN RISIKO KREDIT OBLIGASI PENDEKATAN FIRST PASSAGE TIME DAN OPTIMISASI PORTOFOLIO DENGAN MEAN VARIANCE EFFICIENT PORTFOLIO [PDF]
Cara seorang investor mengambil keputusan berinvestasi adalah dengan mempertimbangkan risiko yang mungkin terjadi dan expected return yang diinginkan, seperti halnya berinvestasi pada obligasi.
Alfiyyati, Lydia Zayyani
core
ABSTRACT This study analyzes the effects of value co‐creation and creation of shared value in agricultural input marketing. This study used a sample of 178 agricultural companies in Costa Rica. The data were analyzed using partial least squares structural equation modeling (PLS‐SEM) with SMART PLS software. Our findings reveal the significant influence
Luis Ricardo Solís‐Rivera +1 more
wiley +1 more source
The Urgency for Regional Integration in Accordance to Investment Risk Management [PDF]
Investment is an activity which is needed by every country, especially in development country. However, the investment activity itself also brings in some risk which is called as investment risk. These investment risks usually recognized to be covered by
Yuniarti, Y. (Yuniarti)
core
The optimal use of return predictability : an empirical study [PDF]
In this paper we study the economic value and statistical significance of asset return predictability, based on a wide range of commonly used predictive variables.
Abhay Abhyankar +3 more
core +2 more sources
ABSTRACT Climate variability is affecting the productivity, profitability, and resilience of smallholder dairy producers in developing countries. The adoption of climate‐smart (CS) dairy practices has been promoted to mitigate these negative effects. However, while interest in dairy CS practices is growing, empirical evidence on their adoption patterns
Mercy Mburu +4 more
wiley +1 more source
Risiko Kredit Portofolio Obligasi Dengan Credit Metrics Dan Optimalisasi Portofolio Dengan Metode Mean Variance Efficient Portfolio (Mvep) [PDF]
Investing is a important thing in a capital market. Bond investment must be noticed the risk especially credit risk. From the information of credit risk, investor can choose the right investment.
Fauziah, N. (Nurul) +2 more
core
The Role of Certifications in Improving Household Food Security Among Peruvian Farmers
ABSTRACT Achieving global food security requires sustainable transformations in agri‐food systems. Voluntary Sustainability Standards (VSS) such as Organic and Fairtrade aim to internalize certain social and environmental costs while promoting more equitable value distribution, improved market access, and sustainable production practices.
Lisa‐Marie Schulte, Awudu Abdulai
wiley +1 more source

