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Financial indicators and the global financial crash

2015
In 2007 and 2008, large swathes of the global economy were plunged into the biggest financial crash and economic recession since 1929. Problems surfaced first in countries with large banking sectors and those that had heavily gorged themselves on private-sector debt, especially in the United States and Europe, with some Middle-Eastern and emerging ...
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Indicators of Financial Risk

2013
Countries around the world are facing many challenges concerning their domestic financial structure, the level of integration to international markets, and possible contagion to external financial crisis (Balakrishnan et al. 2009; Barth et al. 1999).
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Financial Indicators for Critical Access Hospitals

The Journal of Rural Health, 2006
ABSTRACT:  Context: There is a growing recognition of the need to measure and report hospital financial performance. However, there exists little comparative financial indicator data specifically for critical access hospitals (CAHs). CAHs differ from other hospitals on a number of dimensions that might affect appropriate indicators of ...
George H, Pink   +5 more
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Management of financial and non-financial indicators of enterprise

Экономика и предпринимательство, 2020
В статье рассмотрены вопросы анализа внутренней информации, которая получается при обработке первичных документов, обобщающих или группирующих информацию и формирующих необходимые отчеты. Анализируя и обобщая полученную информацию, руководители разных уровней определяют будущие варианты развития различных производственных ситуаций, прогнозируют ...
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A financial fraud detection indicator for investors: an IDeA

Annals of Operations Research, 2019
Fraud detection is a key issue for investors and financial authorities. The Ponzi schemeorganized by Bernard Madoff is a magnified example of a financial fraud, always possiblewhen well-orchestrated. Traditional methods to detect fraud require costly and lengthyinvestigations that involve complex financial and legal knowledge, as well as highly ...
Bernard, Philippe   +2 more
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Financial stability indicators - the case of Croatia

Journal of central banking theory and practice, 2016
This paper considers financial stability through the processes of accumulation and materialisation of systemic risks. To this end, the method of principal component analysis on the example of Croatia has been used to construct two composite indicators – a systemic risk accumulation index and an index reflecting the consequences of systemic risk ...
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The Stability of the Financial Indicators over Time

2017
The article attempts to assess the stability of the financial indicators in the period of ten years (2006–2015). Nearly 1600 companies have been examined within the manufacturing sector – including 800 bankrupt companies. For each enterprise the five selected ratios were calculated for each year.
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Navigating financial toxicity in patients with cancer: A multidisciplinary management approach

Ca-A Cancer Journal for Clinicians, 2022
Grace L Smith   +2 more
exaly  

Financial performance indicators

2023
Tianyi Li, Elizabeth A. M. Searing
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Financial indicators analysis using machine learning: Evidence from Chinese stock market

Finance Research Letters, 2023
Chencheng Zhao   +2 more
exaly  

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