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51.451  Articles
1 of 5.146 pages  |  10  records  |  more records»
This study has the aim of knowing the Effects of Credit Risk, Liquidity Risk and Operational Risk on Profitability at Conventional Banks listed on the Indonesia Stock Exchange (IDX) for the 2019-2021 period. The data source used is financial data in each ... see more

This study examines the influence of firm size and market risk on the stock return of Indonesian high reliable companies. The samples are companies listed on the LQ45 between 2015 and 2017. There are 45 companies have been selected or 196 observations. Th... see more

The purpose of this study is to investigate the moderating role of manager age on the association between income smoothing and stock price crashes and the association between default risk and stock price crashes. The data was collected from the samples of... see more

We examine how powerful CEOs affect stock price crash risk. We focus on family businesses in Vietnam because they contribute 25% of the national GDP. This study employs the Ordinary Least Squares and Fixed Effect Models and dynamic system Generalized Meth... see more

The study of the characteristics of risk and return has received great attention. Several studies in finance literature have tested whether default risk influences firms’ stock returns, but the results are often conflicting. Previous research derives vary... see more

The study of the characteristics of risk and return has received great attention. Several studies in finance literature have tested whether default risk influences firms’ stock returns, but the results are often conflicting. Previous research derives vary... see more

On December 31, 2019, the Wuhan City Health Commission, China, announced a cluster of cases of pneumonia, which causes the disease Covid-19. Indonesia's Gross Domestic Product (GDP) began to weaken at the end of the first quarter of 2020 from 4.9% to 2.9%... see more

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

This study analyzes the impact of liquidity risk on stock returns in four Latin American markets (Chile, Columbia, Mexico, and Peru) between January 1998 and July 2018. Several previous studies have focused on measuring this effect in developed markets an... see more

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