Global ETD Search
Search theses and dissertations gathered from participating repositories worldwide. Every result links back to the library that holds it. No account is needed.
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Showing 1 to 16 of 16 for “"financial ratio"”.
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Analyzing the Financial Condition of Higher Education Institutions Using Financial Ratio Analysis
The problem concerned the financial indicators used to evaluate the financial condition of the six sister higher education institutions under the authority of the Board of Regents of Oklahoma Colleges. The purposes were to determine the financial ratios that best indicate financial condition; to …
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Airport privatisation and performance
This study assesses the financial performance of a representative sample of 35 European commercial airports for the period 1990 to 1999 inclusive, comparing those subject to partial or full privatisation with those in public ownership. It is hypothesized that privatised airports operate more …
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Financial crisis management: application to SMEs in Australia
… number of these businesses suffer from abrupt financial crises resulting from manmade or natural disasters such as fire, flood, storm, etc, which affect all business sectors in the Australian economy. There are numerous theoretical and empirical models that have been applied in relation to …
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Determining whether active investment, using a combination of investment styles, out-performs passive investment
… period. The combination-based style included financial-ratio-based style, market-based style and behavioural-finance-based style in the Johannesburg Stock Exchange during the period from 1984 to 2014. The four-dimension optimisation exercise based on the combination-based style was done in the …
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Implications of IFRS 16: leases - evidence from JSE-listed telecommunication companies
… arrangements as part of their statement of financial position at initial recognition (IFRS Foundation, 2016a). The analysis of the impact is performed through a financial statement analysis, as well as financial ratio analysis, which is a different from the constructive capitalisation model …
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The Effects of COVID-Driven Change on Financial Strategies of Leading UK Life Insurance Providers.
… This study determines the effects of COVID-19 on financial strategies of UK Life Insurers to advise on future strategic opportunities. Design/Methodology/Approach: A mixed methods design gathered data from financial statements of 4 leading UK Life Insurers, focusing on significant changes during …
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Ratio based failure prediction models for the Small-Medium Enterprises (SMEs) in the UK
… modelsspecifically for liquidated SMEs using financial ratios. Despite the fact that there is a cleardistinction between small sized (SEs) and medium sized (MEs) companies (in terms of assets,turnovers and employees size), the majority of studies developed models for SMEs as onegroup, but not …
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Corporate bankruptcy : assessment, analysis and prediction of financial distress, insolvency, and failure
… and analysis of business causes versus financial causes, as well as the interrelation between the two. The most important factors, such as financial and operating leverage, are explored in great detail to gain a better understanding of their implications and impact on corporate failure. …
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Essays on corporate bank loan contracting
… for different purposes. Further, borrowers of operations loans (commercial paper backup, general corporate purpose, and working capital) are able to reduce their commitment fees by as much as 30%. In addition, restructure loans (acquisition line, debt repayment, leveraged buyout, spinoff, and …
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Financial risk exposures in the airline industry : case of South African Airlines
… of this dissertation is to analyse the impact of financial risk factors, including interest rate exposures, currency fluctuations, and fuel price changes on the airline industry. This study investigates risk exposures in the South African airline industry and uses data on South African Airways …
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Characteristics and practices of financially-stressed homeowners in Prince William County, Virginia
… homeowners and to determine to what extent financial difficulty, as measured by the back-end financial ratio (principal, interest, taxes, and insurance, plus consumer credit payments, divided by gross monthly income), can be explained by a combination of affective and objective attributes …
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Essays on financial reporting quality and auditor attributes
… of three stand-alone essays in the areas of financial reporting quality and auditor attributes. The first essay investigates how test power impacts research relevance and uses earnings management research as the case. I argue that the relevance of accounting research outside of academia is …
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Analisis komparasi kinerja keuangan Bank Umum Syariah (BUS) yang ada di Indonesia berdasarkan Islamicity performance index
… Performance Index, yaitu profit Sharing Ratio, zakat Performance Ratio, equitable distribution ratio, directors-employee ratio, Islamic investment vs non Islamic investment, Islamic income vs non Islamic income. Penelitian ini bertujuan untuk membandingkan kinerja keuangan Bank Umum …
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Essays on the Economics of the Gulf Cooperation Council : Islamic Banking and Financial Contagion.
… drawn to Islamic finance during the 2007 financial crisis when Islamic banks outperformed conventional banks in terms of profitability, asset growth, liquidity and solvency. The comparative performance between Islamic and conventional banks in the face of the financial crisis deserves …
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Strategic Choice and Financial Structure in Casual Themed Restaurants
… validation. Only limited studies have considered financial structure in hospitality industry. The service industry is different than manufacturing industry, and even the hospitality industry is not homogeneous. The restaurant industry and lodging industry are quite different from each other. Of …
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Kvantifikovanje verovatnoće difolta preduzeća u Srbiji i razvoj internog kreditnog rejtinga za potrebe banke
Predmet istraživanja ove doktorske disertacije je razvoj novog metodološkog okvira, kao i praktična implementacija internog kreditnog rejtinga modela za segment velikih i srednjih preduzeća u Srbiji. Osnovni cilj jeste kvantifikacija kreditnog rizika preduzeća u Srbiji, koja je omogućena …