نتایج جستجو برای: fixed assets

تعداد نتایج: 221625  

Abdollah Tavasoli Bahram Biglari, Parviz Saeidi,

The purpose of this study is investigating and determining rate of seizing assets and acquisition other companies by public sector companies. We estimate this rate at various stages of the life cycle of the company. Therefore, according to their size and age, the companies have been divided into small, large, young, and mature groups, and for this purpose, we have collected data from a sample o...

Journal: :Jurnal Riset Keuangan dan Akuntansi 2022

Abstrak Tujuan dari penelitian ini untuk meneliti pengaruh profitabilitas, likuiditas, pertumbuhan penjualan dan struktur aset terhadap modal pada perusahaan properti real estat yang terdaftar di Bursa Efek Indonesia periode 2015-2020. Metode digunakan adalah metode deskripsi verifikasi. Populasi estate 2015-2020 sebanyak 79 perusahaan. Sampel diambil 36 menggunakan rumus slovin dengan kriteria...

2005
ERNST EBERLEIN ANTONIS PAPAPANTOLEON

We prove a symmetry relationship between floating-strike and fixed-strike Asian options for assets driven by general Lévy processes using a change of numéraire and the characteristic triplet of the dual process. We apply the same technique to prove a similar relationship between floating-strike and fixed-strike lookback options.

Anatolii Havryliak Ihor Skvortsov Oksana Musiiovska Olena Zahoretska,

S. Kuznets's study that the average propensity to consume is a constant value were nexpected because they denied one of the basic provisions of the Keynesian theory. This fact was called "the riddle of Kuznets".  F. Modigliani and M. Friedman, using the hypothesis of the life cycle and the concept of constant income, proposed two options that explain its solution. But models should not explain,...

2007
Karl Sigman

Here we study the performance of a one-period investment X0 > 0 (dollars) shared among several different assets. Our criterion for measuring performance will be the mean and variance of its rate of return; the variance being viewed as measuring the risk involved. Among other things we will see that the variance of an investment can be reduced simply by diversifying, that is, by sharing the X0 a...

Journal: :تحقیقات مالی 0
محمد حسین ستایش استادیار گروه حسابداری دانشگاه شیراز، ایران فرهاد کاشانی پور کارشناس ارشد حسابداری، دانشگاه شیراز، ایران

the aim of this research is the investigation the relationship between the capital structure and institutional ownership mid to the other effective factors on this relation in tehran stock exchange. the others factors include the percentage of stock dividend, profitability, business risk, assets structure, liquidity, growth, and company size. the statistical population of the research is 117 li...

  A wide range of banking activities And its close relationship with the economy is an important reason for the importance of the reliability of banking system and its influencing factors. Accordingly to play the optimal role, banks face several challenges. Optimal management of assets, liabilities And Evaluateing the risks associated with them Such as credit risk and liquidity risk is ...

2004
Gur Huberman

Although established money managers operate in an environment which seems competitive, they also seem to be very profitable. The present value of the expected future profits from managing a collection of funds is equal to the value of the assets under management times the profit margin, assuming that the managed funds will remain in business forever, zero asset flow into and out of the funds, z...

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