نتایج جستجو برای: and financial performance roa

تعداد نتایج: 16970545  

Journal: :IJSTM 2005
Shu Ling Lin Soushan Wu Jack H. W. Penm Richard Deane Terrell

The objective of this study is to examine the portfolio theory that suggests that diversification can potentially reduce the return variance and the probability of failure of a portfolio. The current study is to investigate the diversification measure by means of Hershman-Herfindahl index, and applies the " diversification index " proposed by Demsetz & Strahan (1997) by scaling systematic risk ...

A. Jarboui A. Najah,

The purpose of this paper is to investigate the impact of voluntary disclosure about corporate social responsibility (CSR) on firm’s financial performance. First, a state of the art about corporate social responsibility and social reporting is presented. After that, the problems of measurement of CSR are indicated and the hypotheses are proposed. In the empirical analysis, regression models are...

2013
Hardeep Chahal Archana Kumari

Purpose – The present paper aims to measure talent management using corporate governance as a proxy measure and examine its impact on business performance in a public-sector bank, i.e. State Bank of India. Design/methodology/approach – Quarterly reports of State Bank of India from the financial periods 2006-2007 to 2009-2010 are used to collect data with respect to boardroom characteristics and...

2012
Abdul Ghafoor Khan

Purpose: The purpose of this study is to find the relationship of capital structure decision with the performance of the firms in the developing market economies like Pakistan. Methodology: Pooled Ordinary Least Square regression was applied to 36 engineering sector firms in Pakistani market listed on the Karachi Stock Exchange (KSE) during the period 2003-2009. Findings: The results show that ...

Journal: :international journal of management and business research 2014
m. doaei m. ahmad anuar z. ismail

firms pursue diversification for sake enhancing financial performance. some theories state positive relationship between diversification and financial performance. however, there are some theories for negative relationship about the issue. the study has filled the gap that most studies done in developed countries and there are fewer studies in developing country like malaysia. in this study, re...

2014
Chen-Ying Lee

This article investigates the relationship between firm specific factors and macroeconomics on profitability in Taiwanese property-liability insurance industry using the panel data over the1999 through 2009 time period. Using operating ratio and return on assets (ROA) for the two kinds of profitability indicators to measure insurers’ profitability. The results show that underwriting risk, reins...

2012
Fauziah Hanim Tafri Zarinah Hamid Kameel Mydin Meera Mohd Azmi Omar

This paper examines the relationship between financial risks and profitability of the conventional and Islamic banks in Malaysia for the period between 1996 and 2005. The measures of profitability that have been used in the study are the return on equity (ROE) and return on assets (ROA) while the financial risks are credit risk, interest rate risk and liquidity risks. This study employs panel d...

In modern economics, Intellectual capital is described as an intangible asset which can be used as a source of sustainable competitive advantage. However, intellectual capital components have to interact in themselves to create value. The paper seeks to examine the impact of intellectual capital on firms’ market value and financial performance. The efficiency of the value added by corporate int...

2015
Chris K.Y. Lo Andy C.L. Yeung

With rising environmental concerns from consumers and stakeholder groups, environmental management has become an important responsibility for today’s fashion and textiles manufacturers. The production of fashion and textiles related products often requires high levels of energy and water consumption, and emits large quantities of pollutants to the environment. Therefore, the adoption of environ...

Journal: :Journal of econometrics 2011
Anan Pawasutipaisit Robert M Townsend

We use detailed income, balance sheet, and cash flow statements constructed for households in a long monthly panel in an emerging market economy, and some recent contributions in economic theory, to document and better understand the factors underlying success in achieving upward mobility in the distribution of net worth. Wealth inequality is decreasing over time, and many households work their...

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