International Journal of Science and Research (IJSR)
Finance
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Finance, India, Volume 12 Issue 1, January 2023
Pages: 1326 - 1328Insuring a Sustainable Future: How Property and Casualty Insurers are Adapting to Net Zero
Rahul Deb Chakladar
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Finance, Vietnam, Volume 14 Issue 5, May 2025
Pages: 1291 - 1295Exploring the Influence of Corporate Social Responsibility on Capital Structure: Evidence from Vietnam?s Listed Energy Companies
Tran Thi Thu Huong | Vu Tram Anh
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Business and Finance, Sierra Leone, Volume 15 Issue 8, August 2026
Pages: 1897 - 1912Commercial Banks' Credit and Agricultural Sector Development in Sierra Leone (2000-2024): Trends, Impacts, and Policy Implications
Tamba Sam | Momodu Sahid Kanu | Robert Dauda Korsu | Morrison K. Lahai | Victoria Blango
Downloads: 18 | Views: 887
Finance, Sri Lanka, Volume 10 Issue 5, May 2021
Pages: 792 - 795Capital Asset Pricing Model and Stock Return Variation: Evidence from Colombo Stock Exchange
Thafani | A. R. F
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Finance, Indonesia, Volume 11 Issue 12, December 2022
Pages: 557 - 563An Analysis of Altman Z-Score, Springate, and Zmijewski Methods Used to Know the Potential of Financial Distress (Empirical Study on Manufacturing Companies in the Automotive and Component Sub-Sectors Listed on the Stock Exchange for the Year 2018-2021)
Saskia | Sujoko | Sugeng | Budiono Budiono
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Business and Finance, India, Volume 12 Issue 3, March 2023
Pages: 85 - 88Identification of Nature of Complaint from Consumer Complaint Database using NLP
Sayanka Mukherjee
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Finance, India, Volume 12 Issue 10, October 2023
Pages: 973 - 976A Comparative Study on Non-Performing Assets of Selected Public and Private Sector Banks
Sakshi
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Finance, India, Volume 13 Issue 2, February 2024
Pages: 524 - 528A Study on Awareness of Stock Market among Management Students through Print Media
Prajapathi Krishna
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Finance, India, Volume 13 Issue 3, March 2024
Pages: 90 - 95Terrorism In Financial Crime by Money Laundering
Divya Jangra
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Finance, India, Volume 12 Issue 9, September 2023
Pages: 2185 - 2189Real - Time Risk Monitoring with Big Data Analytics for Derivatives Portfolios
Nikhil Jarunde