Showing 101 - 120 results of 331 for search '"stock exchange"', query time: 0.06s Refine Results
  1. 101

    Fuzzy Neural Network for Fuzzy Quadratic Programming With Penalty Function and Mean-Variance Markowitz Portfolio Model by Izaz Ullah Khan, Muhammad Aamir, Mehran Ullah, Muhammad Shahbaz Shah

    Published 2024-01-01
    “…The proposed method has been implemented on the six leading stocks in the Pakistan Stock Exchange. The approach identifies the ideal portfolios for potential investors in the Pakistan Stock Exchange. …”
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    Article
  2. 102

    THE IMPACT OF THE CORONAVIRUS (COVID-19) PANDEMIC ON INVESTORS’ BEHAVIOUR IN THE LIGHT OF BEHAVIOURAL FINANCE by Marta Wiśniewska

    Published 2022-06-01
    “…The aim of the research was to find out the opinions of stockbrokers working at the Warsaw Stock Exchange regarding the behaviour of Polish investors in the face of the coronavirus (COVID-19) pandemic. …”
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    Article
  3. 103

    The effect of tax avoidance on profitability with corporate governance as moderation by Gede Gangga Wiweka Sunu

    Published 2024-06-01
    “…The increase in profitability in most companies listed on the Indonesia Stock Exchange occurred from 2017 to 2019. Consumer Non-cyclical sector companies began to show an increase in profitability from 2021 to 2022. …”
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    Article
  4. 104

    A Robust Multiobjective Mathematical Model Optimizing Stock Portfolio by Mehran Sadri, Alireza Sadeghi, Mahdi Madanchi Zaj, Esmaeel Afzoon, Helia Dardaei-beiragh

    Published 2022-01-01
    “…The data extracted from the site of the Tehran Stock Exchange are as follows. These data are related to twenty shares from July 2020 to July 2021. …”
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    Article
  5. 105

    THE IMPACT OF THE CORONAVIRUS (COVID-19) PANDEMIC ON INVESTORS’ BEHAVIOUR IN THE LIGHT OF BEHAVIOURAL FINANCE by Marta Wiśniewska

    Published 2020-06-01
    “…The aim of the research was to find out the opinions of stockbrokers working at the WarsawStock Exchange regarding the behaviour of Polish investors in the face of the coronavirus(COVID-19) pandemic. …”
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    Article
  6. 106

    A Comparative Analysis of Board Qualities and Performance of Listed Deposit Money Banks in Nigeria and Ghana by Oluyinka Oluwagbade, Niyi Solomon Awotomılusı, Samuel Ajibade Dada, Temitayo Oluwatimilehin Abe, Motunrayo Olayinka Adewara

    Published 2024-10-01
    “…The study reveals that the board of listed deposit money banks in the Nigerian exchange group meets more frequently and is more independent than those in the Ghanaian stock exchange, and their board size is larger than in Ghana. …”
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    Article
  7. 107

    Analisis Potensi Kebangkrutan: Perbandingan Model Altman dengan Zavgren by Wardayani Wardayani, Azhar Maksum

    Published 2020-07-01
    “…Thus, the financial state of cosmetics companies listed on the Indonesia Stock Exchange (BEI) during the 2016 to2018, according to the Altman Z Score model can be categorized into 2 criteria, they are: Gray Area; MBTO and Sound Area: MRAT, KINO and TCID. …”
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  8. 108

    Company value: the influence of intellectual capital, growth opportunity, and dividend policy by Leny Suzan, Shenny Syamsudin

    Published 2024-08-01
    “…Therefore, this research focuses on how these variables can influence company value of manufacturing companies within the food and beverage sub-sector listed on the Indonesia Stock Exchange from 2018 to 2022. Data from 10 companies were analyzed. …”
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  9. 109

    Relation of Credit Rating, Litigation Risk and Audit Opinion Modification by Hossein Rajabdorri, Razieh Ghorbani

    Published 2023-11-01
    “…Purpose: The main objective of the present research is to identify the relationship between credit rating, litigation risks, and audit opinion modification on the companies listed on the Tehran Stock Exchange (TSE).Methodology: The statistical sample of this study includes 158 companies accepted on the Tehran Stock Exchange, which were reviewed from 2017 to 2021. …”
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    Article
  10. 110

    The Co-Movement between International and Emerging Stock Markets Using ANN and Stepwise Models: Evidence from Selected Indices by Dania Al-Najjar

    Published 2022-01-01
    “…This study examines the relationship between a developing stock exchange index, Amman Stock Exchange Index (ASEI), and the number of international indices, including S&P 500, NASDAQ, Nikkei, DAX, CAC, and HSI for 2008-2019. …”
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  11. 111

    STRUKTUR MODAL, CURRENT RATIO, UKURAN PERUSAHAAN TERHADAP NILAI PERUSAHAAN DENGAN ROA SEBAGAI MODERATING by Albert Herlambang, Effendy Pakpahan, Namira Ufrida Rahmi

    Published 2025-01-01
    “… The purpose of this research is to study and analyze the influence of capital structure, current ratio, and company size on company value with return on assets as a moderating variable in food and beverage businesses listed on the Indonesia Stock Exchange from 2019 to 2023. This quantitative research uses documentation method. 39 food and beverage companies listed on the Indonesia Stock Exchange are the subjects of this research. …”
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  12. 112

    CORPORATE GOVERNANCE PRACTICES AND EFFECT OF CULTURE OF CEO SUCCESSION PLAN ON BANKS’ FINANCIAL PERFORMANCE IN NIGERIA by Mohammed Shaba, A. O Salami, Mubaraq Sanni

    Published 2023-11-01
    “…The study made use of secondary data from Annual reports of Nigerian Banks quoted on Nigeria Stock exchange and harnessed the views of directors and managers of these banks by means carefully designed questionnaire. …”
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  13. 113

    Identifying Significant Macroeconomic Indicators for Indian Stock Markets by Prakash K. Aithal, Acharya U. Dinesh, M. Geetha

    Published 2019-01-01
    “…This paper identifies the influence of macroeconomic indicators on the National Stock Exchange (NSE) and the Bombay Stock Exchange (BSE) of India. …”
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  14. 114

    Key Audit Matters and their Impact on the Financial Statements of Listed Entities by Daniel BOTEZ, Oana-Ancuta STANGACIU, Anatol MELEGA, Mihaela ENACHI

    Published 2025-02-01
    “…The paper had as starting point 83 entities listed on the Bucharest Stock Exchange, and following the application of strict criteria, in order to ensure the relevance and comparability of information, the sample was reduced to 40 entities for which the trends in presentation of key audit matters between 2020 and 2022 were analyzed. …”
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  15. 115

    The effect of green policy announcements on sectoral stock returns: empirical evidence from Vietnam by Thu Hien Bui, Khanh Linh Vu

    Published 2025-12-01
    “…Using data from 737 firms listed on the Hanoi Stock Exchange (HNX) and Ho Chi Minh Stock Exchange (HSX), the study investigates the effects of 20 GPAs issued between 2012 and 2022. …”
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  16. 116

    INTERNET FINANCIAL REPORTING IN BOSNIA AND HERZEGOVINA by Tarik Zaimović, Azra Zaimović, Anela Fazlić

    Published 2015-11-01
    “…Building on earlier studies, we analyzed the IFR practices of companies traded on two stock exchanges in Bosnia and Herzegovina by estimating multiple regressions separately for both stock exchanges. …”
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  17. 117

    EFFECTS OF SELECTED MACROECONOMIC FACTORS ON STOCK RETURN IN THE NIGERIAN STOCK MARKET (1998-2019) by Segun Kamoru FAKUNMOJU, Ibrahim Bello ABDULLAHI, Isaac Olukayode FASOLA

    Published 2023-11-01
    “…The study employed secondary data obtained from Nigeria Stock Exchange (NSE) fact book and Central Bank of Nigeria (CBN) statistical bulletin within the period of 1998 to 2019. …”
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    Article
  18. 118

    INTERNET FINANCIAL REPORTING IN BOSNIA AND HERZEGOVINA by Tarik Zaimović, Azra Zaimović, Anela Fazlić

    Published 2015-11-01
    “…Building on earlier studies, we analyzed the IFR practices of companies traded on two stock exchanges in Bosnia and Herzegovina by estimating multiple regressions separately for both stock exchanges. …”
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    Article
  19. 119

    Comparing Optimal Portfolio Performance Based on Skew-Normal Distribution and Skew-Laplace-Normal Distribution: A Mean-Absolute Deviation-Entropy Approach by Hila Rezaei, Gholamhossien Golarzi, Omid Karimi

    Published 2024-06-01
    “…Methods The data used in this study comprises the monthly returns of 181 companies listed on the Tehran Stock Exchange. These returns were gathered from a statistical population of 338 members utilizing Morgan's table and Cochran’s formula. …”
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  20. 120

    Dynamics of the relationship between stock markets and exchange rates during quantitative easing and tightening by Farzaneh Ahmadian-Yazdi, Amin Sokhanvar, Soheil Roudari, Aviral Kumar Tiwari

    Published 2025-01-01
    “…Furthermore, the Canadian exchange rate (USDCAD) and the Australian Stock Exchange (ASX) are the most significantly affected indices within the network across various investment horizons (excluding the long-term). …”
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