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Rasha Istaiteyeh, Maysa?a Munir Milhem, Farah Najem and Ahmed Elsayed
This paper presents a comprehensive analysis of key financial indicators influencing the operational efficiency of banks in Jordan over the period 2006 to 2021. The study, focusing on fifteen commercial banks, employs seven regression models to assess th...
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Andrzej Parzonko, Anna Justyna Parzonko, Piotr Bórawski and Ludwik Wicki
The European Union dairy sector plays a significant role in supplying dairy products to consumers all over the world. The aim of this study was to examine changes in the return on equity as one of the main financial indicators determining the economic vi...
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Ayodeji Michael Obadire, Vusani Moyo and Ntungufhadzeni Freddy Munzhelele
Financial institutions, particularly banks, have long grappled with the dilemma of structuring their capital optimally. This process, commonly referred to as capital structure decision-making, is of paramount importance, especially within the financial s...
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Saleh F. A. Khatib, Hamzeh Al Amosh and Husam Ananzeh
We aim to provide a comprehensive systematic analysis of scholarly publications in the field of board compensation in financial sectors extending through the years 1987 to 2021. Hence, the most notable themes, theories, and contributions to the literatur...
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Soa La Nguyen, Cuong Duc Pham, Tu Van Truong, Trong Van Phi, Linh Thuy Le and Trang Thu Thi Vu
This research focused on exploring capital structure that would have an impact on the Vietnamese company?s profitability. Theoretically, we apply agency theory which mentions the separation of ownership and management, which leads to the problem when the...
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Wisnu Lesmono, Nunung Nurhasanah, Didit Supriyadi
Pág. 1074 - 1086
The stock market price is a marker dimension of the company's results, namely how far management has managed to manage the company on behalf of shareholders. Evaluation of stock prices can be done by several methods, in certain ways the calculation of st...
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Monday Uhunmwangho
Pág. 94 - 100
Recent regulations are directed at mitigating financial market risk, because risks, especially volatility dampen investors? confidence, and hinder firms? ability to raise funds at the exchange. Though, volatility had been investigated in the past, the jo...
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Jamel Eddine Mkadmi
Pág. 9 - 28
This paper examines the comparative efficiency of Islamic banks and conventional commercial banks in Bahrain during the period 2005?2011 with respect to profitability. Eight financial ratios are used in measuring this performance. Applying Student?s t-te...
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Carsten GIEBE,Kevin Schulz
Pág. 29 - 45
The banking market in Germany is facing big challenges due to digitalization. The digital transformation is significantly influenced by technological progress and the low-interest phase. The article deals with the group of cooperative banks, which consis...
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Atanas Sixpence,Olufemi P. Adeyeye,Rajendra Rajaram
AbstractOrientation: Empirical knowledge regarding which financial statement variables are linked to firm value is critical for profitable equity investment.Research purpose: The study examines the impact of earnings before interest and taxes from contin...
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