Results 61 to 70 of about 980,847 (378)
Displacement risk and asset returns [PDF]
We study asset-pricing implications of innovation in a general-equilibrium overlapping-generations economy. Innovation increases the competitive pressure on existing firms and workers, reducing the profits of existing firms and eroding the human capital of older workers.
Leonid Kogan +3 more
openaire +4 more sources
THE IMPACT OF THE PRODUCT STRATEGY ON THE MARKET SHARE. THE CASE OF BULGARIAN WINERIES [PDF]
Product strategy is one of the main factors determining market share. Two variables are important in the planning of the product strategy of the winery – one is the level of specialization (diversification) of production and the second is the scale of ...
Petar Borisov, Haik Garabedian
doaj
Asset Returns and Economic Growth [PDF]
IT IS DIFFICULT to see how real U.S. GDP growth can be as rapid in the next half-century as it has been in the last. The baby boom is long past, and no similar explosion of fertility to boost the rate of labor force growth from natural increase has occurred since or is on the horizon.
Dean Baker +2 more
openaire +3 more sources
Objective: The objective of the article is to empirically examine the predictors of ROA and ROE for banks and insurance firms listed on the Vietnamese stock market.
Lucille V. Pointer, Phan Dinh Khoi
doaj +1 more source
ANALYSIS OF INCOMES, EXPENSES AND PROFITABILITY IN BANKS [PDF]
The paper is centered on presenting some aspects regarding incomes, expenses and results of commercial banks from Romanian banking system such as: income dynamics and structure, expenses dynamics and structure, a set of indicators which reflects the main
MIRELA MONEA
doaj
Analysis of Economic Performance in Agriculture Using Econometric Modeling
Agriculture is a priority sector of the national economy, so the analysis of the economic performance of agricultural holdings in Romania using modern methods, such as econometric modeling, is of particular importance. In this article is made an analysis
Bumbescu Sorina Simona
doaj +1 more source
Asset Returns and Financial Fragility [PDF]
How do the returns on banks’ assets affect the susceptibility of the banking system to a self-fulfilling run by depositors? I study this question in a version of the model of Diamond and Dybvig (1983) with limited commitment and a non-trivial portfolio choice.
openaire +3 more sources
Sukuk Rating is a standard that reflects the ability of Sukuk issuers and their willingness to pay principal payments according to schedule. This study aims to determine the effect of Total Assets and Total Assets Turnover on Sukuk Ratings with Return on
Andika Taftiyanur Rofi
doaj +1 more source
Financial analysis is vital for evaluating company performance, aiding stakeholders in making informed decisions. The Current Ratio and Quick Ratio gauge liquidity, while Return on Assets (ROA) assesses profitability.
Nur Apriani Fatwa +4 more
semanticscholar +1 more source
Models for heavy-tailed asset returns [PDF]
Many of the concepts in theoretical and empirical finance developed over the past decades – including the classical portfolio theory, the Black-Scholes-Merton option pricing model or the RiskMetrics variance-covariance approach to Value at Risk (VaR) – rest upon the assumption that asset returns follow a normal distribution.
Borak, Szymon +2 more
openaire +6 more sources

