Inflation, operating cycle, and cash holdings

A corporate cash-holding strategy is a trade-off between the costs and benefits of holding cash. At the macro level, firms are inclined to adjust their cash-holding strategies in response to inflation. At the micro level, the operating cycle, which indicates the turnover of corporate cash flow, is a...

Full description

Bibliographic Details
Main Authors: Sahar Sepasi, Mohammad Esmaeili Kejani, Reza Safikhani
Format: Article
Language:fas
Published: University of Tehran 2016-01-01
Series:بررسی‌های حسابداری و حسابرسی
Subjects:
Online Access:https://acctgrev.ut.ac.ir/article_56246_164b6799ea23c9cdb5aa1e16dfd1d0cd.pdf