نتایج جستجو برای: return on assets

تعداد نتایج: 8442612  

Journal: :International Journal of Social Sciences and Humanities (IJSSH) 2018

Journal: :Costing 2023

The purpose of this study was to analyze the factors that affect ROA and find out how much influence independent variables: quick ratio, total assets turnover, fixed accounts receivable debt ratio; had on return assets. To achieve research objectives, a sample companies listed in building construction sub-sector Indonesia Stock Exchange for 2019-2021 period used, with 10 selected using purposiv...

Journal: :Maqdis : Jurnal Kajian Ekonomi Islam 2019

Adel Azar Maryam Saberi, Mohammad Norozi Mohsen Hamidian

Portfolio theory assumes that investors accept risk. This means thatin the equal rate of return on the two assets, the assets were chosenthat have a lower risk level. Modern portfolio theory is accepted byinvestors who believe that they are not cope with the market. Sothey keep many different types of securities in order to access theoptimum efficiency rate that is close to the rate of return o...

Journal: :Studies in Economics and Finance 1997

2008
Mark A. Petersen Ilse Schoeman

In our contribution, we model bank profitability via return-on-assets (ROA) and return-on-equity (ROE) in a stochastic setting. We recall that the ROA is an indication of the operational efficiency of the bank while the ROE is a measure of equity holder returns and the potential growth on their investment. As regards the ROE, banks hold capital in order to prevent bank failure and meet bank cap...

2003
R. ALTON GILBERT

The profitability of banks depends upon a number of factors including existing business conditions, bank size, efficiency of operations, leverage (volume of deposits to equity capital), and the extent of competition among banks. Overall bank profitability and some determinants of profitability can be measured by using a number of operating ratios as rate of return on capital, rate of return on ...

 The purpose of this study is to investigate the effect of bank loan portfolio diversification and market structure on the financial stability of banks in the countrychr('39')s capital market. In order to achieve the above goal, the financial data of 17 banks have been used as unbalanced panels in the period from 2005 to 2018. In this study, data analysis was performed using fixed effects model...

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