Please use this identifier to cite or link to this item: http://10.9.150.37:8080/dspace//handle/atmiyauni/2076
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dc.contributor.authorVasani, Suresh-
dc.date.accessioned2024-11-29T10:19:11Z-
dc.date.available2024-11-29T10:19:11Z-
dc.date.issued2021-
dc.identifier.citationVasani, Suresh(2021), Study of Liquidity and Asset Management Ratios of Selected Chemical Companies in India, RADHANVALLI: An International Peer Reviewed Multidisciplinary Research Journal (Bi-Annual),5(10),10-20, 2457-0273en_US
dc.identifier.issn, 2457-0273-
dc.identifier.urihttp://10.9.150.37:8080/dspace//handle/atmiyauni/2076-
dc.description.abstractThis paper tries to analyze the liquidity and assets management ratios of selected chemical companies of India. Researcher analyze main objective of liquidity and Asset Management Ratios of selected Chemical Companies and further to analyse the Financial Performance of selected Chemical Companies with the help of various ratios of liquidity and Assets management. This study based on secondary data which are collected through annual reports of companies. The methodology used by the researcher is various ratios of accounting and one way ANOVA test for the testing of hypothesis. Major findings of the study indicated that hypotheses of current, Liquidity, Inventory, and working capital ratios have been rejected it means there are significant difference in above selected ratios of selected companies. In relation with debtor, creditor, fixed assets turnover and total assets turnover ratios, there are significant difference in the ratios of selected companies.en_US
dc.language.isoenen_US
dc.publisherRADHANVALLI: An International Peer Reviewed Multidisciplinary Research Journal (Bi-Annual),en_US
dc.subjectLiquidity managementen_US
dc.subjectANOVAen_US
dc.subjectChemicalen_US
dc.subjectFinancial Performanceen_US
dc.subjectWorking capital.en_US
dc.titleStudy of Liquidity and Asset Management Ratios of Selected Chemical Companies in Indiaen_US
dc.typeArticleen_US
Appears in Collections:01. Journal Articles

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