Results 61 to 70 of about 2,027,722 (237)
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
Time matters less: Variance partitioning of return on equity for banks in Uganda. [PDF]
Jitmaneeroj B, Ogwang J.
europepmc +1 more source
The impact of the earning management practices on performance of bank sector in Jordan
This research aims to investigate and conduct the impact of earnings management practices on the performance of the banking sector in Jordan. Data were collected from 24 main commercial banks from (2015–2021).
Omar M. Al-Hawtmeh+2 more
doaj +1 more source
This research examines the association between Corporate Social Responsibility (CSR) disclosure and financial performances-Return on Assets (ROA), Return on Equity (ROE), and Stock Return-within the cigarette companies listed on Indonesian Stock Exchange.
Desy Ratna Yuwita Amelia+1 more
doaj +1 more source
Performance Analysis of Microfinance Institutions of India [PDF]
This is a study of Microfinance Institutions-MFIs of India. It includes analysis of MFIs of India. This study includes analysis of performance of microfinance institutions with reference to both financial and non-financial ways.
Muhammad Azhar Ikram Ahmad+2 more
doaj
Do Financial Performance And Firm Value Can Improve Corporate Responsibility Disclosure?
The aims of this research are to find out how the effect of financial performance is proxied by ROA and ROE on the firm value which is proxied by Tobin's Q with CSR that is proxied by cost allocation as moderating the plantation sub-sector listed on the ...
Dini Wahjoe Hapsari, Willy Sri Yuliandhari, M. Fadel Variza
doaj +1 more source
The Appreciation of Equity Concept and Its Relationship to Multiple Rates of Return [PDF]
Charles E. Phillips
openalex +1 more source
Exact Solutions for Expected Rates of Return under Markov Regime Switching: Implications for the Equity Premium Puzzle [PDF]
Andrew B. Abel
openalex +1 more source
Dynamic loan portfolio management in a three time step model [PDF]
This paper studies the bank dynamic decision problem in the intermediate time step for a discrete-time setup. We have considered a three-time-step model. Initially, the banks raise money through debt and equity and invest in different types of loans. It liquidates its assets and raises new funds at the intermediate-time step to meet the short-term debt
arxiv
Predicting Abnormal Returns From News Using Text Classification [PDF]
We show how text from news articles can be used to predict intraday price movements of financial assets using support vector machines. Multiple kernel learning is used to combine equity returns with text as predictive features to increase classification performance and we develop an analytic center cutting plane method to solve the kernel learning ...
arxiv