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Performance Evaluation and Credit Rating of Mutual Funds Using the Optimistic-Pessimistic Fuzzy Network Data Envelopment Analysis Approach

کلیدواژه: Mutual Funds, Network Data Envelopment Analysis, Uncertainty, fuzzy optimization, Possibilistic programming, Possibility and Necessity Measures

نویسندگان: Mansouri Hossein, Mollaei Hamid Reza, Mousavi-Nasab Seyed Hadi, Firoozi Zahra, Mohammadi Emran

ناشر: سیستم های فازی و کاربردها - سیستم های فازی و کاربردها

This study proposes an effective and powerful Approach for analyzing the performance, credit rating, and ranking of Mutual funds, taking into account their inherent network structures and the uncertainties prevalent in financial markets. To this end, the network structure and internal operations of ... ادامه

سال:2024

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Appraising the Relationship between Age and Total Assets of Mutual Funds and their Efficiency by Using Data Envelopment Analysis Approach (DEA)

کلیدواژه: Mutual Funds,Efficiency,Data Envelopment Analysis Approach

نویسندگان: Badkoobeh Hezaveh Alireza, ESMAEILZADEH MAGHARI ALI

ناشر: دانش سرمایه گذاری - INVESTMENT KNOWLEDGE

Mutual funds are professional finance institutions which have invested in securities, by investors’ payments, while enjoying the professional management as well as decrease in non-systemic risk. On the other hand, investors require some Approaches to evaluate the performance of Mutual funds i... ادامه

سال:2021

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Designing a Hybrid Model of Data Envelopment Analysis with Taguchi Approach to Optimize Multiple Response Banks Performance

کلیدواژه: Multilevel Programming,Taguchi Method,Data Envelopment Analysis,Hybrid Model,Bank

نویسندگان: JAFARI MOHAMMAD REZA, Esmailian Gholamreza, JAFARI ESKANDARI MEISAM, TAVAKKOLI MOGHADDAM REZA

ناشر: INTERNATIONAL JOURNAL OF NONLINEAR Analysis AND APPLICATIONS - INTERNATIONAL JOURNAL OF NONLINEAR Analysis AND APPLICATIONS

Many organizations (including banks) have a multi-step process and their operations are a continuous process in successive periods. The Taguchi method is an e cient way to optimize a single quality response. However, in practice most products / processes have more than one qualitative response.... ادامه

سال:2020

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Analysis of the Impact of Financial Supervision Components on the Credit Risk of Equity Mutual Funds in Iran: A Panel Quantile Regression Approach

کلیدواژه: Financial Supervision,Equity Mutual Funds,Credit Risk,Panel Quantile Regression

نویسندگان: MASOUDI SAHEBEH, CHESHOMI ALI, Razmi Seyed Mohammad Javad

ناشر: مدلسازی اقتصادسنجی - JOURNAL OF ECONOMIC MODELING

Mutual funds are expanding as one of the financial intermediaries. But the presence of asymmetric information in financial markets and the possibility of encouraging fund managers to make risky selections can jeopardize the interests of investors. Financial supervision by controlling the riskiness o... ادامه

سال:2021

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Performance Persistence of Mutual Funds in Iran: Momentum Strategy Approach

کلیدواژه: Persistence of Performance,Momentum Strategy,Mutual Funds

نویسندگان: Keyvan Raziyeh, Janani M. Hassan, VAKILIFARD H. REZA

ناشر: دانش مالی تحلیل اوراق بهادار (مطالعات مالی) - FINANCIAL KNOWLEDGE OF SECURITY Analysis (FINANCIAL STUDIES)

One of the most important investment options in Iran is the Mutual Fund. In order to select a number of successful Mutual funds, their performance in specific period of time should be appraised. In this regard, a number of measures are used for evaluating their performance, including the moderns and... ادامه

سال:2019

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An Analysis of the Unobserved Actions of Iranian Mutual Funds using Return Gap Criteria

کلیدواژه: Holding-based performance,evaluation,Mutual funds holdings,Quarterly disclosure,Return Gap,portfolio management

نویسندگان: Ebrahim Nejad Ali, Barakchian Seyyed Mahdi, Ghanipour Majid

ناشر: تحقیقات مالی - Financial Research Journal

Objective: This study aims at measuring the effect of added valued of unobserved actions of Mutual funds. Methods: Using Return Gap criteria– the difference between the return of hypothetical and actual return – the researchers examined the effect of indiscernible activities in Mutual ... ادامه

سال:2018

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Liquidity Risk and Asset Quality; Financing in Islamic Banking: Canonical Correlation Analysis Approach

کلیدواژه: Islamic Banking,Liquidity Risk,Asset Quality,Financing,Canonical Correlation.JEL Classification:G21,G32

نویسندگان: ZAREI FATEMEH, NADIRI MOHAMMAD, Naderi Samirmi Jalal, MOUSAVIAN SAYYED ABBAS

ناشر: تحقیقات مالی اسلامی - Islamic Financial Research

One of the most important risks that the Islamic banking system, the same as conventional banking, faces is liquidity risk. The liquidity management in the Islamic banking system, however, is more complicated compared to conventional banking because of difference in the nature of the tools used ther... ادامه

سال:2020

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Assessment Of Portfolio Management Skills In Iranian Capital Market Mutual Funds: Baysian Model Averaging Approach

کلیدواژه: Mutual Fund,Securities Portfolio Management,Market Timing,Security Selection,Panel Regression,Time Series Regression,Baysian Model Averaging

نویسندگان: asadi gharehjeloo behrang, Abdo Tabrizi Hossein

ناشر: پژوهش های برنامه و توسعه - Journal of Program & Development Research

Evaluating portfolio management performance and Mutual fund’ s active management abilities is of particular importance. Capital asset pricing model and holding portfolios model are among the most important studies to assess the ability of Mutual funds market timing and security selection. Thi... ادامه

سال:2019

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The Effect of Corporate Governance on the Firms` Financial Performance Using Meta-Analysis Approach

کلیدواژه: Dividends,Corporate Governance,Capital Structure,Investment,Financial Performance

نویسندگان: FATHI SAEED, Abootalebi Hamid

ناشر: پژوهش های حسابداری مالی - Financial Accounting Research

Managers can maximize shareholders' wealth by managing variables in the financial structure (such as capital structure, dividend, and investment). Using corporate governance mechanisms, shareholders try to guide managers in this direction. The sample of this research is the statistical tests in past... ادامه

سال:2022

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Designing Justice Index in Islamic Banking with Content Analysis Approach and Fuzzy Decision Making Method

کلیدواژه: Justice Index, islamic banking, content analysis, fuzzy AHP

نویسندگان: Mohagheghnia Mohammad Javad, Seilsepoor Hossein, Ahmadi Shima

ناشر: تحقیقات مالی اسلامی - Islamic Financial Research

One of the components of the Islamization of banks after the implementation of usury-free banking has been the implementation of justice. In this research, the design of the justice index in Islamic banking as one of the sub-systems of the Islamic economy has been addressed. In Islam, justice is tie... ادامه

سال:2023

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