Showing 241 - 260 results of 331 for search '"stock exchange"', query time: 0.06s Refine Results
  1. 241

    The Relationship between Corporate Social Responsibility (CSR) Reporting and Financing (Bank Loans and Debt Securities) by Azam Valizadeh Larijani, Sarina Mafakheri Bashmagh

    Published 2024-09-01
    “…The sample included 134 companies listed on the Tehran Stock Exchange (TSE) from 2014 to 2020. The results showed a positive and significant relationship between CSR reporting and the amount of financing obtained from both the capital market (through debt securities issuance) and the money market (bank loans). …”
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  2. 242

    The Effect of Business Strategy on Company Performance with Emphasis on Management Ability by Seyed Hesam Vagfi, Zohre Nilofari

    Published 2021-11-01
    “…This research is applied in terms of purpose and the methodology of correlation, which is causal (post-event).Methodology: The study's statistical population consists of companies listed on the Tehran Stock Exchange, using the systematic elimination sampling method. …”
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  3. 243

    Meningkatkan nilai perusahaan: peran strategis kepemilikan institusional, leverage keuangan dan kebijakan dividen di perusahaan Indonesia by Robi Sunjaya, Eka Bertuah

    Published 2024-12-01
    “…By using panel data regression models, the research incorporates purposive sampling, selecting 125 companies from a population of 902 firms listed on the Indonesia Stock Exchange (IDX) during the period 2020-2023, resulting in a total of 500 observations. …”
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  4. 244

    Comparison of Banks and Ranking of Bank Loans Types on Based of Efficiency with Dea in Iran by Reza Fallah, Mohadeseh Kouchaki Tajani, Mehdi Maranjory, Razieh Alikhani

    Published 2021-03-01
    “…Accordingly, in the present study, a data envelopment analysis model was used to evaluate and select the optimal portfolio of banks' listed loans in Tehran Stock Exchange for 2017. Bank loans were evaluated using data envelopment analysis method and based on a set of banking criteria whith the use Gams software. …”
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  5. 245

    Comparison of financial distress between manufacturing companies in the ceramic, porcelain, and glass sector with agriculture sector by Edy Suprianto, Lifza Priyangga Putra, Ahmad salim

    Published 2024-06-01
    “…The population to be studied in this study is all Agricultural Sector Companies and Ceramics, Glass and Porcelain Subsector Companies listed on the Indonesia Stock Exchange in 2017-2020. The sampling technique was selected using the purposive sampling method, obtaining observation data of 100 data. …”
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  6. 246

    SET ESG ratings and firm value: The new sustainability performance assessment tool in Thailand. by Mongkhol Moolkham

    Published 2025-01-01
    “…This study investigates the influence of SET ESG ratings on firm value of companies listed on the Stock Exchange of Thailand (SET), emphasizing the multifaceted relationships between ESG performance, third-party evaluations, and market reactions following SET ESG ratings announcements. …”
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  7. 247

    Manufacturing cycle prediction using structural equation model toward industrial early warning system simulation: The Indonesian case by Tirta Wisnu Permana, Gatot Yudoko, Eko Agus Prasetio

    Published 2025-01-01
    “…The SLEI is composed of two indicators, the Manufacturing Purchasing Managers’ Index (PMI) and the Composite Stock Price Index from the Indonesia Stock Exchange, while the ITC comprises nine critical export-import CLIs.The Fiscal Cycle (FC) is a potential medium-term CLI, including Gross Domestic Product (GDP) per capita, manufacturing investment, oil prices, and the Consumer Price Index (CPI). …”
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  8. 248

    Advantages of Combining Factorization Machine with Elman Neural Network for Volatility Forecasting of Stock Market by Fang Wang, Sai Tang, Menggang Li

    Published 2021-01-01
    “…In this paper, the Standard & Poor’s 500 Composite Stock Price (S&P 500) index, the Dow Jones industrial average (DJIA) index, the Shanghai Stock Exchange Composite (SSEC) index, and the Shenzhen Securities Component Index (SZI) were used to demonstrate the validity of our proposed FM-Elman model in time-series prediction. …”
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  9. 249

    Dividend Versus Investment – Cash Flow Allocation by Elżbieta Bukalska, Anna Maziarczyk, Kinga Ociesa

    Published 2022-12-01
    “…We analyzed 419 companies from the Warsaw Stock Exchange and covered the period of 2007-2020 with 4,760 firm-year observations. …”
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  10. 250

    Social contracts and occupational health and safety disclosure: evidence from companies in Indonesia by Abidah Dwi Rahmi Satiti, Djoko Suhardjanto, Wahyu Widarjo, Setianingtyas Honggowati

    Published 2025-12-01
    “…The research sample includes 110 companies at high risk for workplace accidents and occupational diseases listed on the Indonesia Stock Exchange from 2016–2022, totaling 259 observations. …”
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    Article
  11. 251

    The Impact of Liquidity and Digital Transformation on The Bank Performance: Board of Commissioners and Directors’ Turnover Moderator by Divia Maudy Ariesta, Yuli Soesetio

    Published 2025-01-01
    “…Design/methodology/approach: The research analyzed 47 banks listed on the Indonesia Stock Exchange (IDX) from 2012 to 2022. These banks were selected through purposive sampling from the IDX and Financial Services Authority (FSA) websites. …”
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  12. 252

    A Systemic Contribution and Vulnerability of Non-financial Firms: A Cross Industry Analysis by Zafar Azam, Abdul Raheman, Abdul Rashid

    Published 2023-12-01
    “…We apply two firm-specific measures, namely Delta CoVaR (ΔCoVaR) and Marginal Expected Shortfall (MES), to evaluate the systemic risk of 205 non-financial firms listed on the Pakistan Stock Exchange over the period from 2005-2021. We apply quantile regression methodology to quantify (ΔCoVaR). …”
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  13. 253

    The Effect of Audit Quality on the Audit Adjustments to Earnings by Seyed Reza Seyed Nezhad Fahim, Samaneh Zamani

    Published 2020-08-01
    “…Research hypotheses based on collected data from 128 companies accepted in the Tehran Stock Exchange from 2013 to 2018 were tested using combined regression analysis. …”
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  14. 254

    Effect of sales growth, capital intensity and debt to equity ratio on tax avoidance as moderated by firm size by Peter Winarta, Matondang Elsa Siburian, Enda Noviyanti Simorangkir, Wilsa Road Betterment Sitepu

    Published 2024-12-01
    “…This quantitative research focused on seventeen food and beverage manufacturing companies listed on the Indonesia Stock Exchange (IDX) from 2018 to 2022. Data were analysed using Structural Equation Modelling with a Partial Least Square approach. …”
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  15. 255

    Double materiality implementation and its impact on sustainability reporting: Findings from Polish early adopter reports by Paweł Szalacha

    Published 2024-12-01
    “…Companies listed on the Warsaw Stock Exchange included in the index WIG 20 were selected for the case study analysis. …”
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  16. 256

    ANALYSING EFFICIENCY OF AGGRESSIVE ETF-COMPOSED PORTFOLIO STRATEGIES by A. Zaviyalov

    Published 2014-06-01
    “…The article investigates investment characteristics of Exchange Traded Funds, a unique category of mutual funds which can be traded like any common equity on any stock exchange through authorized broker companies. One can buy and sell ETFs during the entire trading session, one can open short positions using ETFs and trade on margin. …”
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  17. 257

    Financial performance evaluation of firms in BIST 100 index with ITARA and COBRA methods by Ali Katrancı, Nilsen Kundakcı, Dragan Pamucar

    Published 2025-01-01
    “…This study aims to assess the financial performances of firms traded on the Istanbul Stock Exchange 100 Index (Borsa Istanbul (BIST) 100 Index) between 2018 and 2022 using an integrated multi-criteria decision-making (MCDM) method. …”
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  18. 258

    The Impact of Ownership and Financial Stability on Bank Liquidity Creation by Sudarto Sudarto, Adawiyah Wiwiek Rabiatul, Najmudin Najmudin, Jati Dian Purnomo

    Published 2025-03-01
    “…The research sample included 35 banks listed on the Indonesia Stock Exchange based on a purposive sampling technique (non-random sampling) and the observation period between 2013 and 2020 utilizing quarterly data. …”
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  19. 259

    Impact of environmental award and financial performance on environmental disclosure quality: a case study of listed companies in Pakistan by Muhammad Badar Ul Munir, Muhammad Ishfaq

    Published 2025-01-01
    “…This research examines the nexus between environmental awards, environmental disclosure quality, and the firm performance of non-financial companies listed on Pakistan’s Stock Exchange (PSX) from 2016 to 2020. This research aims to determine if environmental disclosure, indicative of accountability and transparency, is affected by awards for environmental success. …”
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  20. 260

    Forecasting of CVaR based on intraday trading in Tehran ETFs: The approach of heterogeneous autoregression models by Shiva Hallaji, Mahdi Madanchi Zaj, Fereydon Ohadi, Hamidreza Vakilifard

    Published 2024-12-01
    “…Purpose: This study examines the accuracy of Heterogeneous Autoregressive (HAR) models in forecasting the Conditional Value-at-Risk (CVaR) of Exchange-Traded Funds (ETFs) on the Tehran Stock Exchange. The significance of this study stems from the need for better risk management in financial markets, where volatility and jumps significantly affect investment decisions.Methodology: Data from nine equity, index, and fixed-income funds were analyzed intraday with high frequency (daily and fifteen-minute intervals) from 2019 to 2022. …”
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