نتایج جستجو برای: treynor performance measure
تعداد نتایج: 1347565 فیلتر نتایج به سال:
this paper seeks two goals concurrently, at one hand tries to assay the capability of topsis, vikor and similarity-based approach as multiple attribute decision making approaches in evaluating mutual funds in iran stock exchange, and at the other hand in this evaluation tries to consider and compare three groups of indices including general evaluating indices (age, net value of mutual fund’s as...
the purpose of the present study was to investigate the effect of task-based instruction of vocabulary on the receptive and oral productive acquisition of english vocabulary and compare the results with those obtained from the traditional method. the method and procedure applied in this study was as follows: after the implementation of opt, a group of sixty female students were chosen. the stu...
Investasi adalah suatu bentuk penanaman dana guna memberikan keuntungan tingkat pengembalian (return) baik pada masa sekarang atau dan dimasa depan. Saham sebuah bukti kepemilikian nilai perusahaan. merupakan salah satu instrumen investasi yang paling menarik karena memiliki mobilitas tinggi. Indeks kinerja keuangan dimaksud Sharpe, Treynor Jensen dimana metode digunakan untuk mengukur saham, s...
Penelitian ini bertujuan untuk mengetahui kinerja reksa dana saham berdasarkan metode sharpe, Treynor, dan Jensen. Selain itu, penelitian memiliki tujuan mana yang outperform underperform terhadap IHSG. Periode digunakan adalah tahun 2013-2016. merupakan kuantitatif deskriptif. Populasi seluruh terdaftar di Bursa Efek Indonesia Pemilihan sampel ditentukan dengan teknik purposive sampling kriter...
measuring the performance of a production system has been an important task in management for purposes of control, planning, etc. lord kelvin said :“when you can measure what you are speaking about, and express it in numbers, you know something about it; but when you cannot measure it, when you cannot express it in numbers, your knowledge is of a meager and unsatisfactory kind.” hence, manageme...
Abstract This study compares the performance of five portfolios built according to level integration environmental, social and governance values in case South Africa, over period four years from 2 January 2019 29 December 2022. The were (1) two dimensions ESG ratings (responsible irresponsible) (2) levels implication (partially significantly), there is also a portfolio for non-engaged companies...
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