مطالب مرتبط با کلیدواژه
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Data Envelopment Analysis
حوزه های تخصصی:
In order to evaluate the companies of the cement industry active in the Tehran Stock Exchange (Iran), it is first necessary to identify the indicators of the industry. Note that some of the indicator values provided by the Exchange Organization to the users may have been lost for any reason. All of the existing models for calculating the efficiency of such units calculate the weight of the indicators related to each unit under evaluation independent of the weight of other units. So, in this study, researchers decided to develop a common set of weight models and propose a model that evaluates efficiency in the presence of heterogeneity decision-making units (DMUs) based on the common set of weight models. Finally, the proposed model evaluates 25 cement industry companies in the presence of heterogeneity DMUs of indicators and the results are being analyzed.
Ranking and evaluation of financial efficiency of pharmaceutical companies accepted in Tehran Stock Exchange with the approach of data envelopment analysis and multi-criteria decision making(مقاله علمی وزارت علوم)
حوزه های تخصصی:
The complexity of the competitive business environment has highlighted the need to be aware of the organization's strengths and weaknesses and to continuously improve processes. Therefore, managers are looking for a solution for performance measurement of their organization to be able to promote and improve their organization. Evaluating the performance of listed companies in the stock exchange organization is important because in addition to the managers of the organizations, stock traders can also evaluate the companies and make the necessary decisions about holding, selling or buying the shares of these companies in a timely manner. One of the organization's performance measurement solutions is to use financial ratios. Given that a separate study of financial ratios does not provide a correct view of the efficiency of the organization, so the aggregation of the effect of financial ratios seems to be effective. DEA and MCDM are suitable because they enable the achievement of performance index by considering several factors simultaneously, so the performance obtained from this method is reliable. the main purpose of this study is to ranking pharmaceutical companies in the Tehran Stock Exchange between the years 2018 and 2020 using DEA approach and MCDM to provide a single ranking through the Copeland method.
Analyzing the performance of DEA models for bankruptcy prediction in the energy sector: with emphasis on Dynamic DEA approach(مقاله علمی وزارت علوم)
حوزه های تخصصی:
Predicting bankruptcy risk is one of the most critical issues in corporate financial decision-making. Investors always try to predict the bankruptcy of a firm to reduce the risk of losing their assets, so they are looking for ways by which they can predict the risk of bankruptcy. We predict the position of companies active in the oil and gas industry based on their financial health in the 2020 ranking of S&P global up to three years before 2020. This study uses three data envelopment analysis models (CCR, BCC, and DDEA) and the traditional Altman model for forecasting. We have shown that dynamic data envelopment analysis is a powerful tool for predicting bankruptcy risk.
Designing an Analytical Model for Assessing Supply Chain Re-silience to different Types of Risks: Case Study of Iran Petro-chemical Industries(مقاله علمی وزارت علوم)
حوزه های تخصصی:
The purpose of the study is to develop and test an analytical model for resilience assessment of supply chain risks against the risks of system and its individual tiers. In this regard a multi-method research approach is adopted as follows: By using data envelopment analysis (DEA) and fuzzy set theory, a fuzzy network DEA model has been proposed to assess risk in overall supply chains and their individual tiers. The proposed model is tested by surveying of 130 people as selective petrochemical companies in Iran. The survey results show a substantial variation in resilience ratings between the overall petrochemical supply chains and their individual tiers. The research findings indicate that system resilience is not necessarily indicative of the resilience of its individual tiers. On the other hand, high efficiency scores in supply chain tiers have limited influence on overall resilience of supply chain. The proposed analytical model enables the assessment of supply chain flexibility at different levels for a wide range of supply chain risks in upstream, downstream and downstream process-es.
Evaluating the Efficiency of Circular Economies in Persian Gulf Countries in Terms of Municipal Solid Waste Management(مقاله علمی وزارت علوم)
منبع:
اقتصاد مقداری سال ۲۱ بهار ۱۴۰۳ شماره ۱ (پیاپی ۸۰)
87 - 106
حوزه های تخصصی:
EXTENDED ABSTRACT
INTRODUCTION
In the last decade, concern about the environment has increased increasingly around the world. One of the serious environmental challenges is urban solid waste, the management of which has been raised as one of the main concerns of human societies. According to the World Bank, by 2025, more than 1.4 billion people will live in cities around the world, and each of them will generate an average of 1.42 kilograms of municipal waste per day. Estimates show that municipal waste worldwide triples every year. The annual generation of municipal waste worldwide has increased from 0.68 billion tons to 2.2 billion tons. Based on available data from countries up to 2012, the World Bank has published a report focusing on municipal solid waste generation. Waste is materials or objects that are discarded or thrown away. Solid waste is waste or discarded materials and objects obtained from industrial, commercial, mining, agricultural, and general daily activities (Ugwu, Ozoegwu & Ozor, 2020). Solid waste is one of the serious environmental issues in developed and developing countries. Solid waste management is a major challenge in urban areas around the world, especially in developing countries. The main reason for this challenge is the rapid population growth along with the expansion of cities, the reduction of financial resources, and the weakness of urban planning. Human activities and changes in lifestyle and consumption patterns have led to an increase in waste production rates (Bovard & ilanloo, 2019). Controlling environmental pollution, including waste, is an important part of human duty in maintaining human health, which has a special place in new sciences and techniques according to economic health standards. Waste production is inevitable in human daily life and population increase will increase it. Municipal solid waste is defined as waste generated by human, commercial, and construction activities that are collected and treated by municipalities (Xiao, Dong, Geng, Tian, Liu, & Li, 2020). The main composition of these wastes is almost the same in different countries of the world. However, the amount of production waste, density, and share of each part of it is different from country to country and city to city. This difference is caused by economic development, geographical location, weather conditions, and cultural and social considerations (Afshar Kazemi, Eftekhar & Omrani, 2014). About, 2.01 billion tons of municipal solid waste is produced annually in the world, of which at least 33% is not environmentally managed. Worldwide, waste generated per person per day averages 0.74 kg but varies widely from 0.11 to 4.54 kg. Of course, it is predicted that by 2050, the amount of waste produced in the world will increase to 3.40 billion tons, which is equivalent to 2 times the population growth in that year. The East Asia and Pacific region produces the most waste in the world at 23%, while this number for the Middle East countries is about 6%. Of course, it is expected that the total waste production in this region will more than double by 2050. It is worth noting that in these areas, more than half of the waste is discarded without reuse. This waste growth will bring many adverse environmental, health, and welfare consequences. Therefore, it requires basic measures.
METHODOLOGY
The purpose of this study is to evaluate the efficiency of circular economies in Persian Gulf countries in terms of Municipal Solid Waste Management. This research is applied in terms of purpose and descriptive survey in terms of data collection. Its statistical population was formed from Persian Gulf countries. In this research, the per capita value of MSW production and the dimensions of the social progress index "basic human needs", "basics of well-being" and "opportunity" are used as input and recycling as output in the model. SPI indicators show how well society can cover the needs of its members and improve their quality of life. Data on MSW generation and recycling rates were obtained from the World Bank and data on the three SPI indicators were extracted from the Essential Social Progress website. The data of this research is for the year 2021. The DEA model was implemented in LINGO Softer.
FINDINGS
The findings show that the countries of Kuwait (1), United Arab Emirates (0.952), Saudi Arabia (0.654) and Iran (0.453) respectively have the highest circular economy performance compared to other countries in the Persian Gulf. The aim of this study is to analyze the efficiency of DMUs from the perspective of variable returns to scale (VRS).
CONCLUSION
The main purpose of this evaluation is the efficiency of circular economy in the Persian Gulf region in terms of urban solid waste management. The results show that Kuwait and the United Arab Emirates respectively have the highest circular economy performance compared to other areas of the Persian Gulf. Data analysis shows that according to the statistics of the World Bank, these three countries recycle 21% and 20% of manufactured products respectively. They have good performance compared to other input indicators. It should be noted that these results can be partially under the conditions of the Covid-19 pandemic. As, Iran will produce more solid food with more population and monitoring of health protocols. This could have caused it to fall to fourth place. Data analysis shows that production per capita in Iran is much lower than other countries. Iran has an average performance in terms of SPI indicators. But in terms of long-term performance, it has been ranked fourth. The reason for this is its very low recycling. Policymakers should use advertising, education, etc. to increase the collection rate of recyclable products. In order to improve their performance, the system needs to produce and at the same time increase the recycling rate. Education and public investment can help in this regard. Also, it should improve its performance in terms of SPI indicators. The province also improves access to basic medical care, food, water and housing. Also, they should provide access to basic education and even advanced education for those in the country who wish to increase their knowledge and skills. According to the results, it is suggested that other Persian Gulf areas improve their performance in recycling. The country's data shows that they recycle less than 10% of their production. It is suggested to evaluate the performance of the Persian Gulf with Europe for a better explanation. It is also suggested to use other indicators of reuse in calculating circular economy performance. Since it is new for environmental management and circular economy at the study level. This means that the special indicators of recycling evaluation and SPI indicators in previous years are different from previous years and practically will not reach a comparative output. For this purpose, it is suggested that future researchers study in different years with an interval of 5 years in the same field and compare the results of different years. However, there is no validity and reliability of this research. But more thought is needed in generalizing the results.
Geographical Locations and Technology Capacities of Petrochemical Companies(مقاله علمی وزارت علوم)
حوزه های تخصصی:
Technological orientation is one of the competitive functions in the capital market, which can be considered as a basis for evaluating the advantages of companies in achieving strategic goals. The purpose of this study is to investigate the effect of geographical location on the technology capabilities. In this study, resource based view (RBV) has been used to develop the research hypothesis. In this study, first, using data envelopment analysis (DEA) method to measure the technology capacities of companies then, considering that the dependent variable of the research was measured as 0 and 1, based on logistic regression, the research hypothesis was tested. The result of testing the research hypothesis was that the level of significance of the coefficient of variable geographical distance (DIS) has a negative and significant effect on the technical efficiency vector (TEV). This result, based on the test of the theory of resource reliance theory, indicates the fact that the existence of a geographical distance from the center can affect companies' access to competitive resources, and in this situation, reduce the capabilities of their core technology compared to competitors. This study is one of the few studies that examines the effect of technology capability on the geographical distance of petrochemical companies and its results can help strengthen the strategic decisions of companies. Therefore, based on this, this study can be considered innovative because it helps to develop theoretical literature and strategic decision-making implications.
A Two-step Model to Evaluate the Efficiency and Rating of Banks and Explain the Role of Credit Risk (Case Study of Commercial Banks Listed in Tehran Stock Exchange)(مقاله علمی وزارت علوم)
حوزه های تخصصی:
In economies where banks play a key role in aggregating savings and allocating credit to various sectors, it is crucial to evaluate the performance of the banking system using appropriate methods. This research paper presents a model for evaluating the efficiency of commercial banks listed in the Tehran Stock Exchange during the period from 2015 to 2020, with a focus on the impact of credit risk. The study employs a two-step descriptive-correlation retrospective method to rank the banks and explain the role of credit risk in their efficiency. Specifically, the efficiency of the banks is determined using inputs and outputs based on DEA (Data Envelopment Analysis) models. The calculation of efficiency using ideal SBM (Slacks-Based Measure) and DEA methods reveals that Mellat, Saderat, and Tejaret banks were the most efficient during the study period. Furthermore, Tobit and logistic regression models are used to investigate the relationship between the main determinants of credit risk and the efficiency of commercial banks. The findings indicate a statistically significant relationship between the two factors. Overall, this paper highlights the importance of evaluating the efficiency of the banking system in bank-oriented economies and provides a useful model for doing so. The research paper highlights the significant impact of credit risk on bank efficiency, emphasizing its role in shaping effective risk management strategies within the banking sector. It suggests that banks should prioritize these factors to enhance their operational efficiency.