Results 61 to 70 of about 5,417,741 (329)
The effect of financial policy and capital assets on firm performance: Evidence from service companies listed on the Amman Stock Exchange [PDF]
This study aimed to demonstrate the impact of the financial policy, represented in debt policy and dividend policy, and the capital assets on the financial performance measured by return on equity, total assets turnover and market value added of 53 ...
Soda, Mohammed Zakaria +2 more
doaj +1 more source
Financial Asset Bubbles in Banking Networks [PDF]
We consider a banking network represented by a system of stochastic differential equations coupled by their drift. We assume a core-periphery structure, and that the banks in the core hold a bubbly asset. The banks in the periphery have not direct access to the bubble, but can take initially advantage from its increase by investing on the banks in the ...
Biagini, F, Mazzon, A, Meyer-Brandis, T
openaire +7 more sources
Given ongoing financial disintermediation and the need for central banks to establish interest rate corridors, commercial banks have increasingly enriched their asset allocation choices, forming an allocation pattern that combines traditional credit ...
Kun Huang, Qiuge Yao, Chong Li
doaj +1 more source
This study investigates the volatility and external shock persistence within the financial and alternative assets markets during times of crises triggered by Covid-19 and the war in Ukraine.
Edosa Getachew Taera +6 more
doaj +1 more source
Presentation of Financial Assets in the Monetary Statistics
The purpose of the study. Currently, the issues of determining, presenting and analyzing indicators of economic assets, in particular, financial ones, are relevant, since financial assets, along with nonfinancial ones, constitute the most important ...
V. N. Salin +2 more
doaj +1 more source
Assessing Portfolio Risks Involving Bitcoin and Ethereum Using Vector Autoregressive Model [PDF]
Investors now have a multitude of non-traditional assets to choose from, especially from the spectrum of alternative assets, such as financial digital assets.
Andrei-Dragos Popescu
doaj
Optimization of Financial Asset Neutrosophic Portfolios
The purpose of this paper was to model, with the help of neutrosophic fuzzy numbers, the optimal financial asset portfolios, offering additional information to those investing in the capital market.
Marcel-Ioan Boloș +2 more
doaj +1 more source
The present study intends to examine the influence of the halal business and Sharia financial assets on economic growth in Indonesia. The research method requires a quantitative methodology. Research data was acquired in time series form from the Central
I. Imsar +3 more
semanticscholar +1 more source
The 2008 global financial crisis and COVID-19 pandemic: How safe are the safe haven assets?
We compare the performance of safe-haven assets during the Global Financial Crisis (GFC) and COVID-19 pandemic. First, regarding the GFC, we find, intermediate (weak) safe haven evidence for US dollar, Swiss franc and T-bonds (Gold, Silver and T-bills ...
M. Cheema, R. Faff, K. Szulczyk
semanticscholar +1 more source
Financial Mechanism for Managing the Assets and Liabilities of Banks [PDF]
The complexity and versatility of the managing for bank's activity requires a balance of assets and liabilities, which are interrelated, and necessitates the formation of the financial mechanism for their management.
Zoryana Matsuk +2 more
doaj +1 more source

