Optimal Financial Resource Allocation Using Multiobjective Decision Making Model

IF 1.1 Q3 STATISTICS & PROBABILITY
Teg Alam
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引用次数: 0

Abstract

The management of each industry must strive to meet multiple financial objectives, including capital structure, dividend policy, and earnings growth. The paper proposes an approach to analyze how financial resources should be allocated optimally using a multi-objective decision-making model. As part of the study, Al Rajhi banks' financial statements are used as a case study. All of the data is drawn from the banks' financial statements. Overall, the study's results show that all objectives have been achieved. This model enables banking and other industries to formulate strategies for dealing with various financial situations. The study's results are calculated and verified using LINGO 18.0 x64 software. Hence, the proposed model can determine financial decisions and develop strategies for dealing with various economic frameworks.
基于多目标决策模型的财政资源优化配置
每个行业的管理层都必须努力实现多个财务目标,包括资本结构、股息政策和盈利增长。本文提出了一种使用多目标决策模型来分析财政资源应如何优化分配的方法。作为研究的一部分,Al Rajhi银行的财务报表被用作案例研究。所有数据都来自银行的财务报表。总体而言,研究结果表明,所有目标都已实现。这种模式使银行业和其他行业能够制定应对各种金融状况的策略。使用LINGO 18.0 x64软件对研究结果进行了计算和验证。因此,所提出的模型可以确定财务决策,并制定应对各种经济框架的战略。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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来源期刊
CiteScore
3.30
自引率
26.70%
发文量
53
期刊介绍: Pakistan Journal of Statistics and Operation Research. PJSOR is a peer-reviewed journal, published four times a year. PJSOR publishes refereed research articles and studies that describe the latest research and developments in the area of statistics, operation research and actuarial statistics.
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