Works matching DE "RETURN on assets"
Results: 1977
Analysis The Impact of Liquidity Ratios, Activity Ratios, and Leverage Ratios on Profitability With Firm Size as A Moderating Variable (an Empirical Study of Transportation Sector Companies Listed on The Jakarta Stock Exchange From 2018 To 2022).
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- Journal of Social Research, 2025, v. 4, n. 3, p. 413, doi. 10.55324/josr.v4i3.2454
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Value relevance of excess return on pension assets and pension OCI components.
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- Accounting & Business Research, 2022, v. 52, n. 4, p. 347, doi. 10.1080/00014788.2021.1930996
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Political corruption and annual report readability: evidence from the United States.
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- Accounting & Business Research, 2022, v. 52, n. 2, p. 166, doi. 10.1080/00014788.2020.1815516
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Regulatory incentives and financial reporting quality in public healthcare organisations.
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- Accounting & Business Research, 2017, v. 47, n. 7, p. 831, doi. 10.1080/00014788.2017.1343116
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Socially responsible multiobjective optimal portfolios.
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- Journal of the Operational Research Society, 2024, v. 75, n. 10, p. 2065, doi. 10.1080/01605682.2024.2303075
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Tangency portfolio weights under a skew-normal model in small and large dimensions.
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- Journal of the Operational Research Society, 2024, v. 75, n. 7, p. 1395, doi. 10.1080/01605682.2023.2249935
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Idiosyncratic asset return and wage risk of US households.
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- Economic Inquiry, 2025, v. 63, n. 2, p. 636, doi. 10.1111/ecin.13275
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Participación de mujeres en las juntas directivas, rentabilidad financiera y prácticas de responsabilidad social empresarial.
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- Innovar: Revista de Ciencias Administrativas y Sociales, 2024, v. 34, n. 94, p. 1, doi. 10.15446/innovar.v34n94.116821
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THE FACTORS THAT INFLUENCE THE FINANCIAL PERFORMANCE OF ISLAMIC BANKS.
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- Journal of Application Business & Management / Jurnal Aplikasi Bisnis dan Manajemen, 2025, v. 11, n. 1, p. 66, doi. 10.17358/jabm.11.1.66
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Two is Better Than One: Regularized Shrinkage of Large Minimum Variance Portfolios.
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- Journal of Machine Learning Research, 2024, v. 25, p. 1
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Using Negations in Analyzing German Texts in Finance.
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- Credit & Capital Markets / Kredit und Kapital, 2023, v. 56, n. 3/4, p. 353, doi. 10.3790/ccm.2023.1436301
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مقارنة بني الرحبية واملخاطر االئتمانية ملصرف بغدادواملوصل للمدة من(2021-2015).
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- Economic Sciences, 2024, v. 19, n. 72, p. 1
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ÇEVRESEL PERFORMANS FİNANSAL PERFORMANSI ETKİLER Mİ? TÜRK İMALAT SANAYİ ÖRNEĞİ.
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- Omer Halisdemir Universitesi Iktisadi ve Idari Bilimler Fakültesi Dergisi, 2025, v. 18, n. 1, p. 463, doi. 10.25287/ohuiibf.1572709
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The Influence Of Return On Assets (ROA), Current Ratio (CR), and Debt-to-Equity Ratio (DER) On Stock Prices at PT. Unilever Indonesia Tbk Period 2014-2023.
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- Jurnal Sosial dan Sains (SOSAINS), 2025, v. 5, n. 2, p. 132, doi. 10.59188/jurnalsosains.v5i2.31957
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RENDIMIENTO CONTABLE Y VALOR ECONÓMICO AGREGADO DE LA PYME MANUFACTURERA DE PAPEL, CARTÓN Y DERIVADOS EN COLOMBIA.
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- Ad-minister, 2024, n. 45, p. 80, doi. 10.17230/Ad-minister.45.5
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A test on the location of tangency portfolio for small sample size and singular covariance matrix.
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- Modern Stochastics: Theory & Applications, 2025, v. 12, n. 1, p. 43, doi. 10.15559/24-VMSTA261
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Distributionally robust sparse portfolio selection.
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- Mathematical Foundations of Computing, 2025, v. 8, n. 3, p. 1, doi. 10.3934/mfc.2023052
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Distributionally robust sparse portfolio optimization model under satisfaction criterion.
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- Mathematical Foundations of Computing, 2025, v. 8, n. 3, p. 1, doi. 10.3934/mfc.2023043
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Determinants of Non-Life Insurer Profitability in India: Evidence from Dynamic Panel Analysis.
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- Artha Vijnana, 2025, v. 67, n. 1, p. 96
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Exploring the Influence of ESG and Prosperity Disclosure Score on Financial Performance.
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- Economics: Innovative & Economic Research Journal / Casopis za Ekonomsku Teoriju i Analizu, 2025, v. 13, n. 1, p. 467, doi. 10.2478/eoik-2025-0017
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The Effects of Macroprudential Policies on the Performance of Conventional Banks in Indonesia.
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- Economics: Innovative & Economic Research Journal / Casopis za Ekonomsku Teoriju i Analizu, 2025, v. 13, n. 1, p. 369, doi. 10.2478/eoik-2025-0012
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Predictability Puzzles.
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- Journal of Financial & Quantitative Analysis, 2025, v. 60, n. 1, p. 482, doi. 10.1017/S0022109024000218
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Toward an economic reformulation of public pension funding.
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- Journal of Pension Economics & Finance, 2025, v. 24, n. 1, p. 123, doi. 10.1017/S1474747223000173
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The Mediating Role of Profitability in the Impact Relationship of Assets Tangibility on Firm Market Value.
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- Journal of Risk & Financial Management, 2025, v. 18, n. 2, p. 104, doi. 10.3390/jrfm18020104
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The time-frequency-quantile causal impact of Cable News-based Economic Policy Uncertainty on major assets returns.
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- Investment Analysts Journal, 2025, v. 54, n. 1, p. 75, doi. 10.1080/10293523.2024.2358589
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"DOES CORPORATE GOVERNANCE FRAMEWORK AFFECT THE LEVELS OF PERFORMANCE OF THE LISTED FIRMS ON THE ATHENS STOCK EXCHANGE? AN EMPIRICAL STUDY".
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- Corporate Ownership & Control, 2009, v. 7, n. 1, p. 18
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CORPORATE GOVERNANCE AND FIRM PERFORMANCE: EVIDENCE FROM GHANAIAN LISTED COMPANIES.
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- Corporate Ownership & Control, 2006, v. 4, n. 2, p. 123
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Identification of Factor Models for Forecasting Returns.
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- Journal of Financial Econometrics, 2005, v. 3, n. 2, p. 256, doi. 10.1093/jjfinec/nbi011
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Nonparametric Inference of Value-at-Risk for Dependent Financial Returns.
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- Journal of Financial Econometrics, 2005, v. 3, n. 2, p. 227, doi. 10.1093/jjfinec/nbi012
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Market orientation, marketing capabilities, and firm performance.
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- Strategic Management Journal (John Wiley & Sons, Inc.) - 1980 to 2009, 2009, v. 30, n. 8, p. 909, doi. 10.1002/smj.764
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A Canonical Representation of Block Matrices with Applications to Covariance and Correlation Matrices.
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- Review of Economics & Statistics, 2024, v. 106, n. 4, p. 1099, doi. 10.1162/rest_a_01258
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Longer-Run Economic Consequences of Pandemics.
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- Review of Economics & Statistics, 2022, v. 104, n. 1, p. 166, doi. 10.1162/rest_a_01042
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THE EFFECT OF LONG MEMORY IN VOLATILITY ON STOCK MARKET FLUCTUATIONS.
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- Review of Economics & Statistics, 2007, v. 89, n. 4, p. 684, doi. 10.1162/rest.89.4.684
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Measuring the return of quality investments.
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- Total Quality Management & Business Excellence, 2010, v. 21, n. 1, p. 21, doi. 10.1080/14783360903492546
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Antecedents and consequences of corporate reputation from a bi-stakeholder perspective in Turkish banking sector.
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- Journal for East European Management Studies, 2023, v. 28, n. 2, p. 313, doi. 10.5771/0949-6181-2023-2-313
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Family Business Institutionalisation: Impact on binancial Performance in an emerging Economy.
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- Journal for East European Management Studies, 2021, v. 26, n. 1, p. 147, doi. 10.5771/0949-6181-2021-1-147
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Estimating the effects of public subsidies on the performance of supported enterprises across firm sizes.
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- Research Evaluation, 2021, v. 30, n. 3, p. 290, doi. 10.1093/reseval/rvab004
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The Incompleteness Problem of the APT Model.
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- Computational Economics, 2011, v. 38, n. 2, p. 129, doi. 10.1007/s10614-011-9255-1
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The Complex Connectedness of Global Large-Scale Assets and the Visualization of Their Return Spillover Paths.
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- Fluctuation & Noise Letters, 2023, v. 22, n. 4, p. 1, doi. 10.1142/S0219477523400084
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Interest Spread and the Banking Sector Profitability- An Empirical Investigation for Pakistan.
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- Review of Education, Administration & Law (REAL), 2022, v. 5, n. 3, p. 355, doi. 10.47067/real.v5i3.260
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EXPLORE THE IMPACT OF RETURN ON ASSETS AND LEVERAGE ON CAPITAL STRUCTURE.
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- Journal of Applied Business & Economics (JABE), 2024, v. 11, n. 1, p. 1
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PENGARUH RETURN ON ASSET, TOTAL ASSETS TURNOVER, PRICE EARNING RATIO DAN DIVIDEN PER SHARE TERHADAP HARGA SAHAM (STUDI EMPIRIS PADA PERUSAHAAN MANUFAKTUR SUB SEKTOR PERTAMBANGAN YANG TERDAFTAR DI BEI PERIODE 2015-2019.
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- Journal of Applied Business & Economics (JABE), 2022, v. 8, n. 4, p. 440
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Factors Affecting Company Value In The Consumer Noncyclical Industry Sector Listed On The Indonesia Stock Exchange (IDX).
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- Journal Research of Social Science, Economics & Management, 2024, v. 3, n. 12, p. 1, doi. 10.59141/jrssem.v3i12.668
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The Impact of Current Ratio, Inventory Turnover, on Return on Assets In Listed Mining Sector Companies on IDX In 2019-2022.
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- Journal Research of Social Science, Economics & Management, 2024, v. 3, n. 11, p. 1955, doi. 10.59141/jrssem.v3i11.658
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THE EFFECT OF EXCHANGE RATE TOWARDS ON STOCK RETURNS MEDIATED BY FUNDAMENTAL FACTORS (STUDY ON STOCKS OF TELECOMMUNICATIONS SUBSECTOR COMPANIES LISTED ON THE INDONESIA STOCK EXCHANGE).
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- Journal Research of Social Science, Economics & Management, 2023, v. 3, n. 3, p. 770, doi. 10.59141/jrssem.v3i3.576
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Commercial and social activities of Indonesian Islamic banks: do they relate?
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- Journal of Enterprise & Development (JED), 2022, v. 4, n. 2, p. 257, doi. 10.20414/jed.v4i2.5584
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ANALYSIS OF THE EFFECT OF LIQUIDITY AND PROFITABILITY ON FINANCIAL PERFORMANCE AT PT. MAYORA INDAH TBK.
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- Journal of Syntax Literate, 2023, v. 8, n. 1, p. 29, doi. 10.36418/syntaxliterate.v8i11.10296
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THE EFFECT OF ENTERPRISE RISK MANAGEMENT (ERM) ON COMPANY VALUE IN MINING COMPANIES LISTED ON THE INDONESIA STOCK EXCHANGE.
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- Journal of Syntax Transformation, 2024, v. 5, n. 1, p. 41, doi. 10.46799/jst.v5i1.891
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THE EFFECT OF THE LEVEL OF DEVELOPMENT OF THIRD PARTY FUNDS (DPK) AND RETURN ON ASSETS (ROA) ON MUSYARAKAH FINANCING AT BANK BCA SYARIAH FOR THE 2018-2022 PERIOD.
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- Journal of Syntax Transformation, 2023, v. 4, n. 11, p. 59, doi. 10.46799/jst.v4i11.852
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Econometric analysis of supply chain disruptions: financial performance in the European automotive sector.
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- Electronic Research Archive, 2024, v. 32, n. 8, p. 1, doi. 10.3934/era.2024231
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