نتایج جستجو برای: market value added and residual income in manufacturing companies listed tehran stock exchange during1386
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سرمایه گذاران همواره به دنبال استفاده از فرصتهای مناسب سرمایه گذاری و کسب بازده بیشتر هستند بنابراین آنچه در شرایط کنونی باعث موفقیت میگردد استفاده بهینه از فرصتهای سرمایه گذاری موجود است و استفاده به موقع و منطقی از فرصتهای سرمایه گذاری واحدهای تجاری تأثیر بسزایی در بهبود عملکرد شرکتها دارد. از آنجایی که عملکرد شرکت در ایجاد ارزش نقشی اساسی ایفا میکند، فرصت سرمایه گذاری جزیی از ارزش شرکت...
One of the most important methods employed to measure the market risk is value at risk calculation method. In this study, the value at risk of banks listed on the Tehran Stock Exchange and Over-the-counter (OTC) are calculated using parametric model, Monte Carlo simulation, historical simulation and Two-Sided Power (TSP) Distribution. The sample includes all listed banks in Iran. The results sh...
â â â given companiesâ dynamic responses to expected exchange rate changes, this article improves on current methods of measuring exposure to foreign exchange rate changes by breaking down the spot exchange rate changes into expected changes and unexpected changes. the currency risk exposure coefficients resulting from an empirical analysis of shanghai stock exchange a share listed companies...
According to the adverse consequences that are brought by financial distress for companies, economy and financial –monetary institutions, the use of methods that can predict the occurrence of financial failure and prevent the loss of wealth is of great importance. The major models of credit risk assessment are based on retrospective information and using the methods which use the updated market...
reinsurance is widely recognized as an important instrument in the capital management of an insurance company as well as its risk management tool. this thesis is intended to determine premium rates for different types of reinsurance policies. also, given the fact that the reinsurance coverage of every company depends upon its reserves, so different types of reserves and the method of their calc...
the current study aims to investigate the relationship between stock liquidity risk and financial information quality criteria (i.e. the timely dividends announcement, accruals quality and the percentage of profitability prediction error) of companies listed on the tehran stock exchange. for this purpose, 148 cases of data from listed companies, collected from 2007 to 2012, were employed in ord...
This paper aims to determine the impact of dividend policy on stock price volatility by taking firms listed on Tehran stock exchange. A sample of 68 listed companies from Tehran stock exchange is examined for a period from 2001 to 2012. The estimation is based on cross-sectional ordinary least square regression analysis to find the relationship between share price volatility and dividend poli...
زمانی که عدم تقارن اطلاعاتی در رابطه با سهام یک شرکت افزایش یابد، ارزش ذاتی آن با ارزشی که سرمایهگذاران در بازار سرمایه برای سهام موردنظر قائل میشوند متفاوت خواهد بود. درنتیجه، ارزش واقعی سهام شرکتها با ارزش مورد انتظار سهامداران تفاوت خواهد داشت. بنابراین، پژوهش حاضر برای فراهم آوردن شواهدی در ارتباط با نقش عدم تقارن اطلاعاتی بر بیشارزشیابی سهام صورت پذیرفته است. برای آزمون فرضیه پژوهش، از...
this paper aims to prepare intellectual capital component by satisfactory design. satisfaction of employees, customers and residual benefit are the main core of present measurements. the correct position of these items in the financial statements are proposed by correcting entries, then the impact of these elements are investigated on the return on equity, revenue growth and economic value adde...
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