Results 21 to 30 of about 39,179 (295)

The Effect of Economic Crises on Portfolio for a Sample of Iraqi Banks

open access: yesمجلة الدراسات الاقتصادية والادارية, 2023
The purpose of the research: Most importantly، addressing this issue is useful in enabling economic policymakers to determine the success or failure of policy initiatives adopted by banks.
Saad Hassan Ali   +2 more
doaj   +1 more source

The Impact of Social Entrepreneurship, Corporate Social Responsibilities, and Working Capital Management Practices on the Performance of Tourism Small–Medium Enterprises (SMEs) During COVID-19: Moderating Role of Employee Behavior

open access: yesFrontiers in Psychology, 2022
The failure or success of an enterprise depends upon its working capital management practices (WCMP) along with effective corporate social responsibilities (CSR) and social entrepreneurship (SE).
Yuanyuan Li   +5 more
doaj   +1 more source

THE FINANCIAL SITUATION OF FOOD SECTOR PUBLIC COMPANIES [PDF]

open access: yesAnnals of the Polish Association of Agricultural and Agribusiness Economists, 2019
The aim of the article is to evaluate the economic situation of food sector enterprises listed on the Warsaw Stock Exchange. For the purposes of the study a synthetic indicator was used.
Sławomir Lisek   +2 more
doaj   +1 more source

Financial Stability, Prudential Regulation, and Bank Performance: Panel Evidence from Nigeria

open access: yesReviews of Management Sciences
Purpose This study examines the effect of bank-specific financial soundness indicators on the performance of listed Deposit Money Banks (DMBs) in Nigeria.
Emmanuel Imuede OYASOR oysar
doaj   +1 more source

Financial Reporting Quality and Operational Efficiency in the Coastal Region of Romania [PDF]

open access: yesOvidius University Annals: Economic Sciences Series, 2020
Working with large databases and selecting indicators for economic analysis purposes raises several challenges and concerns. This paper provides insights on how the choice of indicators in an analysis of reported financial statements may significantly ...
Ionela Munteanu
doaj  

The Effects of Firm-Specific Factors on the Financial Soundness by using CARAMELS Framework Indicators: A Case of Non-Life Insurance Industry of Pakistan

open access: yesInternational Journal of Experiential Learning & Case Studies, 2019
The study is carried out to identify the relations of firm-specific factors with the financial soundness indicators of CARAMELS framework for the non-life insurance industry, by using a panel data set of 22 non-life insurance companies of Pakistan ...
Nadir Ali   +3 more
doaj   +2 more sources

Financial Reliability of Insurance Companies: Conceptual Framework [PDF]

open access: yesОблік і фінанси
The financial soundness of insurance companies is a guarantee of the stability of the insurance market and effective protection of policyholders’ interests.
Ihor Hrehorashchuk
doaj   +1 more source

Credit Risk Management and the Financial Performance of Domiciled Banks in Sierra Leone: An Empirical Analysis

open access: yesİktisat Politikası Araştırmaları Dergisi, 2022
This study assesses the nexus between credit risks and performance of commercial banks in Sierra Leone using data collected from the Bank of Sierra Leone (BSL) on relevant Financial Soundness Indicators like ROA, Bank Liquidity, NPL, and Credit over the ...
Emerson Abraham Jackson, Edmund Tamuke
doaj   +1 more source

Availability of Financial Soundness Indicators

open access: yesIMF Working Papers, 2003
Because the wave of financial crises in recent years has spurred analysts' and policymakers' interest in monitoring the vulnerabilities of financial systems, the need for supporting data has increased. This paper presents survey results on the collection, compilation, and dissemination of data on a range of indicators of financial soundness in 100 ...
openaire   +3 more sources

Market Volatility As a Financial Soundness Indicator: An Application to Israel

open access: yesIMF Working Papers, 2003
Financial decisions of economic agents are based on volatility considerations. However, no aggregate indicators have been used by policymakers and regulators to assess the market risk environment. This paper applies a market volatility indicator to analyze the Israeli's transition toward inflation targeting.
Armando Méndez Morales   +1 more
openaire   +2 more sources

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