logo
logo
ArEn

نتایج جست و جو:

138

تعداد نتایج:

138

مرتبط ترین ها

به روز ترین ها

پر بازدیدترین ها

پر دانلودترین ها

فیلتر ها

از سال

تا سال

زبان

نوع محتوا

نوع دسته بندی

متن کامل

Liquidity Risk Management Framework of Mutual funds

کلیدواژه: Mutual funds, Liquidity Risk Management, Liquidity Risk Management Tools

نویسندگان: Hosseini Seyed Hossein, Ebrahimi Sarv Oliya Mohammad Hassan, Amiri Maysam, Peymanifurushani Moslem

ناشر: مدیریت دارایی و تامین مالی - Journal of Asset Management and Financing

 
The possibility of repurchasing the investment units issued by the fund is a distinctive feature of open-end Mutual funds, which exposes these funds to Liquidity Risk. The main challenge of Liquidity Management of these funds is providing cash during a crisis and also facing ... ادامه

سال:2023

لینک به محتوا با زبان هدف

مشاهده/دانلود

Liquidity, Performance, Market Conditions and Redemption: Evidence From Mutual funds in Iran

کلیدواژه: Liquidity,Market Condition,Redemption,Inflow,Mutual Fund

نویسندگان: Mahmoudi Ghahsareh Alireza, ABDOLBAGHI ABDOLMAJID, FATHI SAEED

ناشر: بورس اوراق بهادار - JOURNAL OF SECURITIES EXCHANGE

Financial resources of Mutual funds have a very significant impact on the depth of the capital market and the behavior that the Mutual fund manager's shows at the time of the purchase and sale of the asset can play a very important role in the capital market. Accordingly, And with regard to the impa... ادامه

سال:2018

لینک به محتوا با زبان هدف

مشاهده/دانلود

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

لینک به محتوا با زبان هدف

مشاهده/دانلود

Effective Dimensions on Digital Banking Risk Management

کلیدواژه: risk management,Banking Industry,Digital Transformation (DT)

نویسندگان: Aghdam Narjes Heydarzadeh, Shahverdiani Shadi, Tabrizian Bita

ناشر: INTERNATIONAL JOURNAL OF FINANCE AND MANAGERIAL ACCOUNTING - INTERNATIONAL JOURNAL OF FINANCE AND MANAGERIAL ACCOUNTING

Abstract: In today's world, information technology (IT) has an undeniable influence on life and businesses, and activities in the digital environment are ever-rising. Digital transformations in modern time will dramatically change banking systems and financial service provider companies. The widespr... ادامه

سال:2022

لینک به محتوا با زبان هدف

مشاهده/دانلود

Evaluating and Comparing Systemic Risk and Market Risk of Mutual funds in Iran Capital Market

کلیدواژه: Conditional Value at Risk,Mutual Funds,Quantile Regression,Systemic Risk

نویسندگان: Shahbazin Fereshteh, GHALIBAF ASL HASAN, Seighali Mohsen, peymani foroushani moslem

ناشر: IRANIAN JOURNAL OF FINANCE - IRANIAN JOURNAL OF FINANCE

Mutual funds are one of the most paramount investment mechanisms in financial markets. By playing a financial intermediary role, they give nonprofessionals access to professionally managed portfolios of securities and provide numerous benefits for both the capital market and investors simultaneously... ادامه

سال:2019

لینک به محتوا با زبان هدف

مشاهده/دانلود

Impact of Corporate Governance and Earning Management on Liquidity in Companies in the Tehran Stock Exchange

کلیدواژه: Corporate Governance,Earning Management,Market Liquidity

نویسندگان: MEHRANI KAVEH, Nasiri Farvazi Alireza

ناشر: دانش حسابداری - JOURNAL OF ACCOUNTING KNOWLEDGE

The purpose of this study is to examine the joint effects of corporate governance and earnings Management on stock Liquidity, measured by trading volume. In this study, the data was collected from 154 companies listed in the Tehran Stock Exchange, in the period 2008 to 2015. The tests of hypotheses ... ادامه

سال:2017

لینک به محتوا با زبان هدف

مشاهده/دانلود

Relationship between Stock Liquidity and Risk of Default in Iran’ s Petrochemical Industry and Oil Products Companies: The Roles of Stock Liquidity in Information Efficiency and Corporate Governance

کلیدواژه: Liquidity,Block holders,Default risk,Information efficiency,Corporate governance

نویسندگان: Alimoradi Abbas, Khademvatani Asgar, Gholami Fariba

ناشر: PETROLEUM BUSINESS REVIEW - PETROLEUM BUSINESS REVIEW

The main purpose of this work is to explain why and how the stock Liquidity affects the Risk of default of petrochemical and petroleum products companies listed on Tehran Stock Exchange (TSE). The study used experimental data and parametric tests to estimate the relationship between stock Liquidity ... ادامه

سال:2020

لینک به محتوا با زبان هدف

مشاهده/دانلود

Measuring Diversification and Information Risk in Iran’ s Mutual funds

کلیدواژه: Diversification,accruals quality,cost of capital,beta,return on assets,debt ratio,size

نویسندگان: FOROUGHNEJAD HEIDAR

ناشر: IRANIAN JOURNAL OF FINANCE - IRANIAN JOURNAL OF FINANCE

This study aims to investigate the correlation between the diversification and accruals quality (AQ) in Iran’ s Mutual funds considering two main hypotheses and four sub-hypotheses. This research investigates the effects of cases such as beta of the company, the company's return on assets, de... ادامه

سال:2017

لینک به محتوا با زبان هدف

مشاهده/دانلود

Relation Between Risk Management And Corporate Governance In FluctuationProfit

کلیدواژه: Risk Management,Corporate Governance and Profit Fluctuations

نویسندگان: Saraf Fatemeh, Rokhchekar Hosein, Partovi Parsa

ناشر: مطالعات حسابداری و حسابرسی - JOURNAL OF ACCOUNTING AND AUDITING STUDIES

The reported Profit include important financial data That's when Decisions are taken by individuals. Financial analysts generally consider reported earnings as a prominent factor in their own judgments and judgments. The purpose of this study was to investigate The relationship between Risk manageme... ادامه

سال:2019

لینک به محتوا با زبان هدف

مشاهده/دانلود

Corporate Governance and Risk Management: Evidence from Iranian Banks

کلیدواژه:

نویسندگان: SOLGI MOHAMMAD

ناشر: پژوهش های پولی-بانکی - Journal of Monetary and Banking Research

To achieve optimal Risk-taking in financial institutions, effective corporate governance mechanism, as a Risk Management tool, perform better than the legal requirements. So, in this research, we investigate the impact of corporate governance on capital adequacy and deposit cost coverage as Risk ind... ادامه

سال:2018

لینک به محتوا با زبان هدف

مشاهده/دانلود

فیلتر ها

از سال

تا سال

زبان

نوع محتوا

دسته بندی

متن کامل