Results 51 to 60 of about 3,611,955 (162)

The Relationship Between Depression and Coping Insight Dimensions in the Transition to Motherhood

open access: yesStress and Health, Volume 42, Issue 1, February 2026.
ABSTRACT The transition to motherhood is a period of psychological vulnerability but also offers important opportunities to refine and strengthen resilience capacities that support long‐term mental health. The Systematic Self‐Reflection Model of Resilience Strengthening proposes dynamic, reciprocal relationships between self‐reflection, coping insight,
Anne‐Marie Maxwell   +4 more
wiley   +1 more source

Comparative Performance Islamic Shares Mutual Funds Between Indonesia And Malaysia

open access: yesEkuilibrium: Jurnal Ilmiah Bidan Ilmu Ekonomi, 2018
The objective of this study is to evaluate the performance of Islamic mutual funds in Indonesia and Malaysia. Research conducted on the types of shares mutual funds in the period 2014 until 2016.
Novianto Basuki, Moh Khoiruddin
doaj   +1 more source

The Performance of Socially Responsible Investments in Indonesia: A Study of the Sri Kehati Index (SKI)

open access: yesGadjah Mada International Journal of Business, 2017
This study examines the performance of the Sri Kehati Index (SKI) against the Jakarta Composite Index (JCI) as the market index, using respective daily index prices from the 1st of January 2009 to the 31st of December 2014.
Abdul Hadi Zulkafli   +2 more
doaj   +1 more source

A Hybrid Lifecycle Net Worth Optimization Model

open access: yesFINANCIAL PLANNING REVIEW, Volume 8, Issue 4, December 2025.
ABSTRACT Financial advice is fragmented and not living up to its potential. Despite 75+ years of coexistence, the lifecycle models stemming from Ramsey (1926), Fisher (1930), Modigliani and Brumberg (1954), Friedman (1957), Modigliani (1966), Samuelson (1969), Merton (1969, 1971, 1992), as well as others, and the single‐period optimization models of de
Paul D. Kaplan, Thomas M. Idzorek
wiley   +1 more source

Sharia mutual funds performance in Indonesia

open access: yesBusiness: Theory and Practice, 2019
The study aims to measure each Sharia mutual fund performance and compare with market performance in Indonesia. Sharia mutual fund investment instruments in Indonesia have positive developments over the period from 2012 to 2017.
Robiyanto Robiyanto   +2 more
doaj   +1 more source

Zakah Rate In Islamic Stock Performance Models: Evidence From Indonesia

open access: yesIqtishadia, 2020
There are three models commonly used to measure the performance of Islamicstocks, named Treynor Ratio, Sharpe Ratio, and Jansen Index. One component of the three models is risk-free returns which are usually approached with interest rates, whereas ...
Mohammad Farhan Qudratullah
doaj   +1 more source

A multi-criteria decision-making approach to performance evaluation of mutual funds: A case study in Serbia [PDF]

open access: yesYugoslav Journal of Operations Research, 2018
In this paper we evaluate the performance of nine mutual funds in the Republic of Serbia in the period 2011-2013 by integrating traditional approaches for measuring absolute efficiency and the selected multi-criteria decision-making methods for measuring
Jakšić Milena   +2 more
doaj   +1 more source

Self‐Processing Circuits Among Depressed Youth After Amygdala Neurofeedback Cued to the Self‐Face

open access: yesJournal of Neuroscience Research, Volume 103, Issue 12, December 2025.
RT‐fMRI neurofeedback targeting the amygdala‐hippocampus complex was followed by changes in amygdala connectivity with prefrontal, temporal, and occipital regions in depressed youth. Neurofeedback was also associated with hemisphere‐specific amygdala‐cuneus shifts that were associated with improvements in rumination and depression symptoms.
Sewon Oh   +7 more
wiley   +1 more source

An Analytical Confidence Interval for the Treynor Index: Formula, Conditions and Properties

open access: yes
The Treynor index, a well-known, widely-used measure of portfolio performance, is the ratio of the mean excess rate of return of the portfolio to the portfolio's beta.
Matthew R. Morey, Richard C. Morey
core   +1 more source

ANALISIS KINERJA PASAR SAHAM JAKARTA ISLAMIC INDEX (JII) DENGAN MENGGUNAKAN MODEL SHARPE, JENSEN, DAN TREYNOR (Periode Pengamatan pada Tahun 2004-2015) [PDF]

open access: yes, 2016
Tujuan dari penelitian ini adalah untuk menganalisa kinerja pasar saham-saham Jakarta Islamic Index(JII). Analisa kinerja pasar saham ini diukur dengan menggunakan model Sharpes, Jensen, dan Treynor.
Atika, Fathulrahmi
core   +1 more source

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