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شناسایی و اولویت بندی پیشایندها و پسایندهای مدیریت سرگردانی سرمایه گذار با رویکرد دلفی فازی | ||
حسابداری و منافع اجتماعی | ||
مقاله 7، دوره 13، شماره 3 - شماره پیاپی 50، آذر 1402، صفحه 185-214 اصل مقاله (564.24 K) | ||
نوع مقاله: مقاله پژوهشی | ||
شناسه دیجیتال (DOI): 10.22051/jaasci.2022.40733.1713 | ||
نویسندگان | ||
معصومه خلیل زاده طلاتپه1؛ سهیلا زرین جوی الوار* 2 | ||
1گروه مدیریت، واحد خرم آباد، دانشگاه آزاد اسلامی،خرم آباد، ایران. | ||
2استادیارگروه مدیریت بازرگانی، واحد آبادان، دانشگاه آزاد اسلامی، آبادان، ایران. | ||
چکیده | ||
هدف: امروزه افراد با محیطی بسیار پیچیده با انتخابهای زیاد روبرو هستند، بنابراین سرگردانی افراد بخصوص در بحث خرید خدمات به خاطر ماهیت منحصربهفرد آن امری بدیهی است که این امر معمولاً ناشی از عوامل مختلفی است که در نهایت بر تصمیمگیری وی اثرگذار است با توجه به اهمیت سرگردانی سرمایه گذاران در بورس، این پژوهش باهدف شناسایی و اولویت بندی پیشایندها و پسایندهای مدیریت سرگردانی سرمایه گذار با رویکردی دلفی فازی انجام شد. روششناسی: جامعه آماری این پژوهش شامل 21 خبره آگاه بازاریابی و صنعت بورس است که با استفاده از روش نمونهگیری هدفمند (قضاوتی) و (گلوله برفی) و با استفاده از مصاحبه نیمه ساختاریافته تا رسیدن به حد کفایت یا اشباع نظری مورد مصاحبه قرار گرفتهاند. روایی و پایایی آن با استفاده از معیار قابلیت اعتبار، قابلیت اطمینان، تائید پذیری و همچنین انتقالپذیری تائید شد و پایایی بین دو کدگذار برای مصاحبههای انجامگرفته طبق فرمول هولستی 90/0 است که قابلیت اعتماد کدگذاریها مورد تائید واقع شد. جهت تحلیل کیفی مصاحبهها و برای شناسایی پیشایندها (علل) و پسایندهای (پیامدها) مدیریت سرگردانی سرمایه گذار از روش کدبندی باز، محوری و انتخابی استفاده گردید و در بخش کمی نیز جهت اولویتبندی متغیرهای شناسایی شده در بخش کیفی پژوهش از پرسشنامه دلفی فازی استفاده شد که روایی و پایایی آن با استفاده از روایی محتوا و آزمون مجدد تأیید گردید. یافتهها: پس از مصاحبهها با خبرگان، متن مصاحبهها بهطور دقیق مورد بررسی قرار گرفتند که نهایت نتایج حاصل از پژوهش در قالب پیشایندهای مدیریت سردرگمی سرمایه گذار در قالب یازده عامل و پسایندهای آن نیز مشتمل بر یازده عامل شناسایی و اولویتبندی شدند. نتیجهگیری: نتایج حاصل از پژوهش مشخص میکند چه عواملی مدیریت سرگردانی سرمایه گذار در بورس را ضروری میسازد و پیامدهای حاصل از این سرگردانی چگونه خواهد بود که امید است نتایج حاصل از پژوهش موجبات تأمین و حفظ منافع سرمایه گذار و راهکاری مؤثر در مسیر متولیان جهت مدیریت سرگردانی سرمایه گذاران در صنعت بورس کشور باشد. | ||
کلیدواژهها | ||
سرگردانی؛ مدیریت سرگردانی؛ سرمایه گذار | ||
عنوان مقاله [English] | ||
Identify and prioritize the antecedents and consequences of investor confusion management | ||
نویسندگان [English] | ||
masumeh khalilzadeh talatapeh1؛ soheila zarinjoi alvar2 | ||
1Department of Management, Khorramabad Branch, Islamic Azad University, Khorramabad, Iran. | ||
2Assistant Prof ,Department of Managment, Abadan branch, Islamic Azad University, Abadan , Iran | ||
چکیده [English] | ||
Objective: This research was conducted to identify and prioritize the antecedents and consequences of managing investor wandering with a fuzzy Delphi approach. Methodology: The statistical population of this research includes 21 experts in marketing and the stock market industry who were interviewed using the purposeful (judgmental) and (snowball) sampling methods and semi-structured interviews until reaching the theoretical saturation level. Its validity and reliability were confirmed using the criteria of credibility, reliability, verifiability, and transferability, and the reliability between two coders for the interviews conducted according to the Holstein formula was 0.90, which confirmed the reliability of coding. To qualitatively analyze the interviews and to identify the antecedents (causes) and consequences (consequences) of investor wandering management, the open, central, and selective coding method was used, and in the quantitative part, the fuzzy Delphi questionnaire was used to prioritize the variables identified in the qualitative part of the research. whose validity and reliability were confirmed using content validity and retesting. Results: Findings: After conducting interviews with experts, the text of the interviews was carefully examined and then analyzed using open, central, and selective coding methods, so that after the interviews, open codes were extracted. Then the integration of the core codes and then the selected codes were specified, and the coding results were identified and determined as the antecedents or causes of investor management confusion in the form of eleven factors and the consequences of investor wandering management including eleven determining factors. Conclusion: The results of the research determine what factors make it necessary to manage investor wandering in the stock market and what the consequences of this wandering will be. It is hoped that the results of the research will ensure and protect the interests of investors and provide an effective solution for the trustees to manage capital wandering. Investors in the country's stock exchange industry. | ||
کلیدواژهها [English] | ||
Wandering, wandering management, investor | ||
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