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39.025  Articles
1 of 3.903 pages  |  10  records  |  more records»
The purpose of this study is to answer the question about the inconsistency of research results in the field of Islamic stock investment. This study uses literature for digging the uniqueness of Sharia stock investments which cannot be explained completel... see more

Penelitian ini betujuan untuk menguji pengaruh premium growth ratio, risk based capital dan hasi investasi terhadap profitabilitas pada perusahaan asuransi umum yang terdafatar di Bursa Efek Indonesia tahun 2010-2014. Populasi penelitian ini adalah perusa... see more

AbstractThe concept of an equity risk premium (ERP) is fundamental to modern financial theory and central to every decision at the heart of corporate finance. Efforts to quantify ERP are well rewarded by insights into the stability and dynamics of long-te... see more

This article investigates the relationship between ex-post Equity Risk Premium (ERP) on the Colombian stock market and the economic cycles observed in the country using methodologies based on the Hodrick-Prescott and Kalman filters. Accordingly, a short-t... see more

This paper examines the risk adjusted discount rate (RADR) method for evaluating risky nonconventional projects, which has been hotly debated over the last century [1]. Economists face the contradiction of using the NPV rule to evaluate projects with diff... see more

The risk premium in the Brazilian term structure of interest rates is partially driven by some specific defensive behavior following past monetary decisions. Until 2008, the Brazilian Central Bank has primarily dealt with domestic and external crises by r... see more

Bisnis wealth management atas dana nasabah premium memiliki potensi luar biasa, didukung oleh program pengampunan pajak (tax amnesty) yang masuk ke sistem perbankan, dan peringkat investasi Indonesia yang meningkat menjadi layak investasi. Penelitian ini ... see more

In this paper, we empirically examine time-varying risk premia in the Tunisian foreign exchange market by applying GARCH-M modeling to the TND/Euro and TND/USD parities for 1 to 12 months forecasting horizons. Our ultimate objective is to help better mana... see more

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