Results 51 to 60 of about 12,919 (312)
ABSTRACT This study investigated whether superior environmental, social, and governance (ESG) practices enhance corporate value and market efficiency under various economic theories. Using a multi‐country panel of 31 economies from 2015 to 2022, we find that both ESG performance and disclosure improve intrinsic value and mitigate equity misvaluation ...
Xinyu Wang +5 more
wiley +1 more source
ABSTRACT This study assesses the degree of alignment with and eligibility to the EU Taxonomy of non‐financial firms and investigates its relationship with their Cost of Debt (CoD). The empirical analysis is based on a sample of 306 non‐financial firms listed on the Stoxx Europe 600 Index across 15 European countries. Taxonomy‐related data were manually
Fabio Rizzato +3 more
wiley +1 more source
This research aims to test the hypothesis of Financial Ratio Analysis in Predicting Profit Growth in Banking Companies Listed on the Indonesia Stock Exchange (BEI). This research uses quantitative methods.
Winda Moniarsih +2 more
doaj +1 more source
.The study aims to examine the effect of Intellectual Capital on Market Performance and Financial Performance in the LQ45 companies. It uses the sample of LQ45 companies listed on Indonesia Stock Exchange during the period 2010-2013.
Siti Nurhayati
doaj +1 more source
ANALISIS KINERJA BOPO DAN NPL TERHADAP ROA PADA PT BPR KARAWANG JABAR (PERSERODA) JAWA BARAT
Abstrak Di tengah persaingan dalam industri Bank Perkreditan Rakyat (BPR) yang semakin ketat, setiap manajemen BPR harus dapat menggunakan dan mengelola aset yang dimilikinya secara efektif dan efisien, sehingga BPR mampu meningkatkan kinerja ...
wangsit Supeno, Aam Aminudin
doaj +1 more source
Climate Change Risks and Customer Concentration: Evidence From US‐Listed Firms
ABSTRACT While prior studies have investigated climate risks in supply chains, customer ESG pressures, and shared climate exposure, this paper is, to the best of our knowledge, the first to provide direct empirical evidence on the relationship between climate change risks and firms' customer concentration.
Thi Thuy Trang Nguyen +2 more
wiley +1 more source
Berdasarkan hasil penelitian menunjukkan bahwa variabel Return on Investment (ROI), Return on Equity (ROE), Total Asset TrunOver (TATO) dan Return on Asset (ROA) secara simultan berpengaruh signifikan terhadap Return Saham.
sawvitri, Indah
core
The Effect of Liquidity Ratio, Asset Quality Ratio, Sensitivity Ratio, Capital Ratio and Efficiency Ratio Towards Return On Asset (ROA) on Foreign Exchange National Private Commercial Banks [PDF]
This research aims to examine whether LDR, NPL, NIM, CAR and IRR both simultaneously and partially have significant effect toward Returnt On Asset (ROA) on Foreign Exchange National Private Commercial Banks.
Bunga, Oppi Putri, Muazaroh, Muazaroh
core
ABSTRACT Despite the growing interest in ESG performance, limited research explores the mediating role of government policy in the relationship between Fintech, green finance and ESG outcomes. We address this gap by examining how Fintech and green finance influence ESG performance through government policies.
Mandella Osei‐Assibey Bonsu +4 more
wiley +1 more source
PENGARUH CAPITAL ADEQUACY RATIO (CAR) TERHADAP RETURN ON ASSET (ROA) PADA BRI SYARIAH PERIODE 2013-2020 [PDF]
ABSTRAK Asri Novrianti, (2021) : Pengaruh Capital Adequacy Ratio (CAR) terhadap Return On Asset (ROA) pada BRI Syariah periode 2013-2020. Penelitian ini dilakukan untuk menguji pengaruh variabel Capital Adequacy Ratio (CAR) terhadap Return On Assets
ASRI NOVRIANTI, -
core

