ABSTRACT : The Indian telecom sector, with 1.17 billion users and the second-largest market globally, is
experiencing exponential growth due to factors like affordable prices, accessibility, and government initiatives.
The introduction of 5G technology has accelerated this growth, with projections of 920 million mobile users by
2025 and an economic boost of $450 billion between 2023 and 2040. Financial statement manipulation poses a
significant challenge in the realm of corporate finance, potentially misleading investors and stakeholders. This
study delves into the intricate domain of financial statement analysis, focusing on five Indian telecom companies,
a sector pivotal to the nation's economic growth with a period of five years from 2018 to 2022. Employing the
renowned Beneish M-Score Model, this research endeavors to detect instances of financial statement manipulation
within the chosen telecom entities. This paper also explores a quantitative analysis using the Beneish M-score
model was used to investigate earnings manipulation within Indian telecom firms. The study highlights the
complexities of financial statement fraud in the telecom sector and the need for vigilance for sustainable growth
and investor confidence.
KEYWORDS: Financial Statement Manipulation, Beneish M-Score Model, Indian Telecom Companies,
Financial Fraud Detection, Earnings Manipulation, Not Earnings Manipulation
The Effect on the Telecom Industry and Consumers after the Introduction of Re...Dr. Amarjeet Singh
In the world of intense competition amongst all the
industries, the telecom industry also does not fail to stay
behind. With the belief that the customer is the king, each and
every company in India is willing to go to depths and cross
lines every day so that they can be that one brand that
customers look for. While choosing a Network, one looks for
various factors such as Network coverage, the call rates, the
internet plan offered and not to forget but the value-added
services as well. Satisfying the consumers in each of this aspect
is not an easy task. Based on the literature review and after
considering the questions we want to answer; the research
problem of the research paper is “The Effect on The
Consumers and Telecom Industry after the Introduction of
Reliance Jio.” The problem mainly focuses on how the telecom
industry was before and after Jio, what people believe and
perceive about Reliance Jio and what challenges the
competitors faced with the introduction of Jio. Based on the
research problem, these are some of the objectives of our
study,
1. To study the impact of Reliance Jio on the telecom
industry, the change in composition of industry,
change in market share and the reforms that were
undertaken
2. To identify the effect of Jio on common people and
consumer behavior
3. To identify the business strategy followed by Jio and
its Competitors
The methodology used in the research paper was s Single
Cross-Sectional Descriptive Design. With the objective and
design, the tool used for analysis were Mean, Standard
Deviation to compare and analyze the data, also test like the Ztest and Chi-Square Test were done to test the hypothesis.
Finally, the findings of the research paper concluded
that Jio disrupted the market to such a level forcing
competitors to exit or merge, amongst the consumers, the
respondents were eager to test the new competitor in the
market and thus the research witnessed a significant shift in
the network from other networks to Jio.
Through our research we recommend that
Consumers should try to shift to Jio, with their very low
monthly plans and Huge value-added services offered, which
the competitors are still not able to achieve, adds to the success
of Jio in India.
The Effect on the Telecom Industry and Consumers after the Introduction of Re...Dr. Amarjeet Singh
In the world of intense competition amongst all the
industries, the telecom industry also does not fail to stay
behind. With the belief that the customer is the king, each and
every company in India is willing to go to depths and cross
lines every day so that they can be that one brand that
customers look for. While choosing a Network, one looks for
various factors such as Network coverage, the call rates, the
internet plan offered and not to forget but the value-added
services as well. Satisfying the consumers in each of this aspect
is not an easy task. Based on the literature review and after
considering the questions we want to answer; the research
problem of the research paper is “The Effect on The
Consumers and Telecom Industry after the Introduction of
Reliance Jio.” The problem mainly focuses on how the telecom
industry was before and after Jio, what people believe and
perceive about Reliance Jio and what challenges the
competitors faced with the introduction of Jio. Based on the
research problem, these are some of the objectives of our
study,
1. To study the impact of Reliance Jio on the telecom
industry, the change in composition of industry,
change in market share and the reforms that were
undertaken
2. To identify the effect of Jio on common people and
consumer behavior
3. To identify the business strategy followed by Jio and
its Competitors
The methodology used in the research paper was s Single
Cross-Sectional Descriptive Design. With the objective and
design, the tool used for analysis were Mean, Standard
Deviation to compare and analyze the data, also test like the Ztest and Chi-Square Test were done to test the hypothesis.
Finally, the findings of the research paper concluded
that Jio disrupted the market to such a level forcing
competitors to exit or merge, amongst the consumers, the
respondents were eager to test the new competitor in the
market and thus the research witnessed a significant shift in
the network from other networks to Jio.
Through our research we recommend that
Consumers should try to shift to Jio, with their very low
monthly plans and Huge value-added services offered, which
the competitors are still not able to achieve, adds to the success
of Jio in India.
Telecom Outlook 2011-12 by Sohag SarkarSohag Sarkar
The article analyzes the Telecom Sector and defines the contemporary focus areas (3G, MNP, National Broadband Plan, MVAS, Telecom Manufacturing, and Policy Reforms) for year 2012.
Seminar presentation on Indian telecom Industry. Covers all the latest data in FY16 and all important issues and theories in brief. Further details in depth have to get derived from several sources.
2016
Rashmi Ranjan Moharana
M. Sc. (Agri.)
University of Agricultural Sciences, Bengaluru.
The report reflects on the role of broadband connectivity and the multiplier effect it has on the larger ecosystem. India is ripe for a Digital rethink, with both government and industry aligning their efforts toward a broadband powered Digital India. Broadband has the power to enable the gigabit society that is always connected. Broadband connectivity has changed the way people
communicate, socialise, create, sell, shop and work. India’s digital consumption patterns highlights the evolution. On an average Indians spend 200 minutes on mobile every day, with the second highest app downloads globally. Almost 79% of the web traffic in India is on mobile.
To realise the Digital India dream, there is a need to strengthen the broadband backbone, which forms a key pillar of this transformation. This report highlights the need for future ready and robust broadband infrastructure and the requisite efforts for expediting its reach.
Vodafone value enabled services to business customers. Paul Palathingal
The study is oriented towards understanding the various services available to business customers, to understand satisfaction level of the customers, to look in to the scope of profitability in B2B segment and the study focuses on the value enabled services which have been offered by the company to Vodafone business customers.
The effect of Institutional Ownership, Sales Growth and Profitability on Tax ...AJHSSR Journal
ABSTRACT: This research aims to test, analyze and obtain empirical evidence about the influence of
institutional ownership, sales growth and profitability on tax avoidance. The object of this research is
manufacturing companies in the consumer goods industry sector listed on the Indonesia Stock Exchange (BEI)
in 2018-2022. This research used quantitative research methods and causal research design. The sampling
technique in this research used non-probability sampling with purposive sampling as the basis for determining
the sample so that a sample of 55 samples was obtained. The data used is secondary data obtained from the
official website of the Indonesia Stock Exchange (BEI) during the 2018-2022 period. The data analysis method
used was multiple linear regression analysis with several tests such as descriptive statistical tests, classical
assumption tests, and hypothesis testing using SPSS version 26 statistical software. The results showed that the
institutional ownership variable has no effect on tax avoidance, while the sales growth and profitability has a
negative and significant effect on tax avoidance.
KEYWORDS: Institutional Ownership, Sales Growth, Profitability, Tax Avoidance
MGA ESTRATEHIYA SA PAGTUTURO KAUGNAY SA PASALITANG PARTISIPASYON NG MGA MAG-A...AJHSSR Journal
ABSTRAK: Ang mga estratehiya sa pagtuturo ay mahalagang kasangkapan sa paghahatid ng mabisang
pagtuturo sa loob ng silid. Tinukoy sa pag-aaral na ito ang antas ng kagustuhan ng mga mag-aaral sa pagsasadula,
pangkatang talakayan at paggawa ng mga koneksyon sa tunay na karanasan sa buhay bilang mga estratehiya sa
pagtuturo ng panitikan sa Filipino at pasalitang partisipasyon ng mga mag-aaral sa Baitang 7 ng Misamis
University Junior High School, Ozamiz City. Ang ginamit na disenyo sa pananaliksik na ito ay deskriptivcorrelational. Ang mga datos sa pag-aaral ay nagmula sa kabuuang populasyon na 120 na mag-aaral at tatlong
mga guro na tagamasid sa pasalitang partisipasyon ng mga mag-aaral. Ang Talatanungan sa Kagamitan sa
Pagtuturo ng Panitikan at Checklist batay sa Obserbasyon sa Pasalita na Partisipasyon ay ang instrumentong
ginamit sa pagkalap ng datos. Mean, standard deviation, Analysis of Variance at Pearson Product-Moment
Correlation Coefficient ang mga ginamit na estatistiko na sangkap. Inihayag sa naging resulta na ang tatlong piling
estratehiya sa pagtuturo ng panitikan sa Filipino ay may pinakamataas na antas ng kagustuhan ng mga mag-aaral.
Ang antas ng pakilahok ng mga mag-aaral sa paggamit ng tatlong estratehiya sa pagtuturo ng panitikan ay
pinakamataas na nagpapahiwatig na aktibong nakilahok ang mga mag-aaral sa mga gawain. Inihayag din na
walang makabuluhang kaibahan sa antas ng kagustuhan ng mga mag-aaral sa mga estratehiya sa pagtuturo ng
panitikan sa Filipino. Ito ay nangahulugan na gustong-gusto ng mga mag-aaral ang pagkakaroon ng mga
estratehiya sa pagtuturo. Walang makabuluhang kaugnayan ang kagustuhan sa mga estratehiya at antas ng
pakikilahok ng mga mag-aaral. Hindi nakaapekto sa kanilang pakikilahok ang anumang estratehiyang ginamit ng
guro.
KEYWORDS : estratehiya, karanasan, pagsasadula, pagtuturo, pangkatang talakayan
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Telecom Outlook 2011-12 by Sohag SarkarSohag Sarkar
The article analyzes the Telecom Sector and defines the contemporary focus areas (3G, MNP, National Broadband Plan, MVAS, Telecom Manufacturing, and Policy Reforms) for year 2012.
Seminar presentation on Indian telecom Industry. Covers all the latest data in FY16 and all important issues and theories in brief. Further details in depth have to get derived from several sources.
2016
Rashmi Ranjan Moharana
M. Sc. (Agri.)
University of Agricultural Sciences, Bengaluru.
The report reflects on the role of broadband connectivity and the multiplier effect it has on the larger ecosystem. India is ripe for a Digital rethink, with both government and industry aligning their efforts toward a broadband powered Digital India. Broadband has the power to enable the gigabit society that is always connected. Broadband connectivity has changed the way people
communicate, socialise, create, sell, shop and work. India’s digital consumption patterns highlights the evolution. On an average Indians spend 200 minutes on mobile every day, with the second highest app downloads globally. Almost 79% of the web traffic in India is on mobile.
To realise the Digital India dream, there is a need to strengthen the broadband backbone, which forms a key pillar of this transformation. This report highlights the need for future ready and robust broadband infrastructure and the requisite efforts for expediting its reach.
Vodafone value enabled services to business customers. Paul Palathingal
The study is oriented towards understanding the various services available to business customers, to understand satisfaction level of the customers, to look in to the scope of profitability in B2B segment and the study focuses on the value enabled services which have been offered by the company to Vodafone business customers.
The effect of Institutional Ownership, Sales Growth and Profitability on Tax ...AJHSSR Journal
ABSTRACT: This research aims to test, analyze and obtain empirical evidence about the influence of
institutional ownership, sales growth and profitability on tax avoidance. The object of this research is
manufacturing companies in the consumer goods industry sector listed on the Indonesia Stock Exchange (BEI)
in 2018-2022. This research used quantitative research methods and causal research design. The sampling
technique in this research used non-probability sampling with purposive sampling as the basis for determining
the sample so that a sample of 55 samples was obtained. The data used is secondary data obtained from the
official website of the Indonesia Stock Exchange (BEI) during the 2018-2022 period. The data analysis method
used was multiple linear regression analysis with several tests such as descriptive statistical tests, classical
assumption tests, and hypothesis testing using SPSS version 26 statistical software. The results showed that the
institutional ownership variable has no effect on tax avoidance, while the sales growth and profitability has a
negative and significant effect on tax avoidance.
KEYWORDS: Institutional Ownership, Sales Growth, Profitability, Tax Avoidance
MGA ESTRATEHIYA SA PAGTUTURO KAUGNAY SA PASALITANG PARTISIPASYON NG MGA MAG-A...AJHSSR Journal
ABSTRAK: Ang mga estratehiya sa pagtuturo ay mahalagang kasangkapan sa paghahatid ng mabisang
pagtuturo sa loob ng silid. Tinukoy sa pag-aaral na ito ang antas ng kagustuhan ng mga mag-aaral sa pagsasadula,
pangkatang talakayan at paggawa ng mga koneksyon sa tunay na karanasan sa buhay bilang mga estratehiya sa
pagtuturo ng panitikan sa Filipino at pasalitang partisipasyon ng mga mag-aaral sa Baitang 7 ng Misamis
University Junior High School, Ozamiz City. Ang ginamit na disenyo sa pananaliksik na ito ay deskriptivcorrelational. Ang mga datos sa pag-aaral ay nagmula sa kabuuang populasyon na 120 na mag-aaral at tatlong
mga guro na tagamasid sa pasalitang partisipasyon ng mga mag-aaral. Ang Talatanungan sa Kagamitan sa
Pagtuturo ng Panitikan at Checklist batay sa Obserbasyon sa Pasalita na Partisipasyon ay ang instrumentong
ginamit sa pagkalap ng datos. Mean, standard deviation, Analysis of Variance at Pearson Product-Moment
Correlation Coefficient ang mga ginamit na estatistiko na sangkap. Inihayag sa naging resulta na ang tatlong piling
estratehiya sa pagtuturo ng panitikan sa Filipino ay may pinakamataas na antas ng kagustuhan ng mga mag-aaral.
Ang antas ng pakilahok ng mga mag-aaral sa paggamit ng tatlong estratehiya sa pagtuturo ng panitikan ay
pinakamataas na nagpapahiwatig na aktibong nakilahok ang mga mag-aaral sa mga gawain. Inihayag din na
walang makabuluhang kaibahan sa antas ng kagustuhan ng mga mag-aaral sa mga estratehiya sa pagtuturo ng
panitikan sa Filipino. Ito ay nangahulugan na gustong-gusto ng mga mag-aaral ang pagkakaroon ng mga
estratehiya sa pagtuturo. Walang makabuluhang kaugnayan ang kagustuhan sa mga estratehiya at antas ng
pakikilahok ng mga mag-aaral. Hindi nakaapekto sa kanilang pakikilahok ang anumang estratehiyang ginamit ng
guro.
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frightens them and hinders their language acquisition in the Moroccan EFL Context. This may cause them to
develop an internal psychological obstacle that grows as their lack of the necessary instruments or tools to
overcome are not equipped with. They become lost and unaware about or unfamiliar with the necessary reading
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of teaching reading strategies in enhancing the S1 students‟ familiarity with reading strategies and raising their
frequency use. A sample of 283 University students in EFL context have been chosen randomly and have
attended the usual academic reading classes, yet only 76 are subject to this survey. 38 of them constitute the
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ABSTRACT:This study aims to determine the relationship between psychosocialfactors and deviant
behaviors among children in conflict with the law (CICL) inDavao Region. The researchers want to discover the
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traits. The study's data came from N-83children in conflict with the law (CICL) at the Regional Rehabilitation
Center forYouth (RRCY) in Bago Oshiro, Davao City; all respondents are male. This studyused a total
enumeration sampling technique due to the relatively smallpopulation size. The researchers adapted the
Psychosocial surveyquestionnaires by Zabriskie & Ward (2013) and by John and Srivastava (1999)as well as the
Deviant Behavior Variety Scale (DBVS) by Sanches et al. (2016).Through the use of a validated questionnaire,
the mean and standard deviationare determined. The researchers modified this questionnaire and translated itinto
the respondents' mother tongue (Cebuano) for them to comprehend itbetter. The study discovered no significant
relationship between psychosocialfactors and deviant behaviors of children in conflict with the law (CICL) in
theDavao Region
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management is to use regulating the internal interactions within the system, and to decrease the increasing
entropy spontaneously. We propose the principle of social civilization and the developing direction is: freedom
of thought, rule of action. Both combinations should be a peaceful revision and improvement of social rules and
laws. Different countries and nations, different religions and beliefs should coexist peacefully and compete
peacefully. The evolution of human society must be coevolution. Its foundation is the evolution of the human
heart and the human nature.
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in-depth interviews with 12 selected participants from the University of Mindanao, as well as relevant literature
and studies. It was reviewed and validated by 10 experts using a method called Content Validity Ratio (CVR).
This questionnaire was then administered to 400 students from 10 different colleges in University of Mindanao.
After conducting the Exploratory Factor Analysis and performing rotations and iterations, the researchers
identified five main constructs that characterize disaster resilience among colleges (1) disaster preparedness, (2)
disaster awareness, (3) community readiness, and (4) disaster management, (5) disaster resilience. The
researchers aimed to create an organization called “Council of College Disaster Volunteers (CCDV)” which
consist of student volunteers. These factors can be used to develop effective management strategies and
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analysis, and Philippines.
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affected their families and sustenance further, their status in accessing justice is also explored. The study
concluded that the most common struggles the participant experience are Illegal logging and improper waste
disposal, which affect their farms, family, health, and income. Their preferred means to accessing justice is
through barangay settlement; the rigors of accessing courts, such as distance, expenses, fear of ruling, and the
hassle of being called to be present in court, are the most prevalent barriers that hinder the lead farmers from
accessing justice or seeking legal action. Nevertheless, the participants believed that the government would help
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questionnaire to the respondents and to survey the target population. This study has four hundred (400)
respondents, and the respondents are Criminology students at the University of Mindanao. The findings of this
study revealed that the level of cyberbullying experiences is sometimes manifested. On the other hand, the
cyberbullying experiences of the students indicate a moderate level, which indicates that the cyberbullying
experiences of the respondents are sometimes manifested. Also, the computations showed that among the
indicators presented, the highest mean is obtained in the psychological effect, which implies that there is a
significant effect of cyberbullying experiences of the respondents in terms of the Gender level of the
respondents. Therefore, respondents with a low level of cyberbullying experiences tend to have a moderate level
of cyberbullying experience. However, there is no significant effect in terms of age and year level of the
respondents according to the results regarding the psychological, emotional, and physical impact of
cyberbullying.
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sampling method.
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constitution of the preconscious, conscious, and subconscious. Later, by three dynamic components: the id, the
ego and the superego. Such an organization of the psychic apparatus supposes not only individual elements, but
social influences along the process of hominization. In this paper, we recover the findings of the renowned
anthropologist Lewis Morgan, trying to link some of them to the psychoanalytic theory. Especially highlighting
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Keywords: evolutionism, intuitionism, psychoanalysis, Freud, Haidt, Morgan
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targeted Safety and Health/Human Resource professionals within the manufacturing sector of SMEs. We
gathered a robust dataset comprising 107 responses through a meticulously designed self-administered
questionnaire. Employing advanced partial least squares-structural equation modeling (PLS-SEM) techniques
with SmartPLS 3.2.9, we rigorously analyzed the data to scrutinize the intricate relationship between safety
behavior and safety performance. The research findings unequivocally underscore the palpable and
consequential impact of safety behavior variables, namely safety compliance and safety participation, on
improving safety performance indicators such as accidents, injuries, and property damages. These results
strongly validate research hypotheses. Consequently, this study highlights the pivotal significance of cultivating
safety behavior among employees, particularly in resource-constrained SME settings, as an essential step toward
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and to identify which one of the two,Psychological Empowerment or Empathy, is the more powerful predictor of
forgiveness. The study took a survey design with a sample of 350 drawn from a population of university students
using a self-administered questionnaire with four sections: Personal information, Psychological empowerment
scale, Toronto Empathy questionnaire, and the Heartland Forgiveness Scale (HFS). Data analysis employed
Pearson’s product moment correlation and regression analysis to test hypotheses. The results show significant
relationships between psychological empowerment and forgiveness as well as empathy and forgiveness.
Empathy was found to be the more powerful predictor of forgiveness.
KEY WORDS: Psychological empowerment, empathy, forgiveness
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understanding of the existing knowledge in the field of "felt obligation" and to provide guidance for further
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findings highlight prominent researchers in this field, leading universities, and influential journals. Particularly,
it is identified that China plays a leading role in "felt obligation" research. The analysis of keywords emphasizes
the thematic focuses of these studies and provides a roadmap for future research. Finally, various
recommendations are presented to deepen the knowledge in this area and promote applied research. This study
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KEYWORDS: Felt Obligation, Bibliometric Analysis, Research Trends
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been caughtbetween tradition and modernity in the exercise of political power in Chad. However, we are
witnessing the revival of chieftaincy and the hybridization of the politicalpowersexercisedwithinit. In this
cohabitation of powers, traditionalauthorityisescapingitsrole as guardian of tradition.
Traditionalauthorityisthereforepresented in itscurrent state, as a proxy for the modern state in traditional
administrative districts. The aim of thisstudyis to analyze the mutations and adaptability of
traditionalauthorityfrom the pre-colonialperiodthrough the colonial period to the post-colonial period. This
workanalyzes the mutations of authorities. The data collected and processedrevealthattraditionalauthorities have
survivedalmosteverywhere, the former chiefdomsdissolvedduringcolonization have been restored by
republicanheads of state, while more and more frequently civil servants, businessmen, academics and
othermembers of the literateelite, whopreviouslyhad no attraction for the position of traditionalchief, are
beingenthroned.
Key words:Authorities, Administration, colonization, Chad, Kanem.
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Domestic violence is a devastating social problem resulting in significant and enduring effects on children,
threatening both their health and emotional well-being. The study aimed at examining the relationships between
domestic Violence and Psychological Empowerment, Domestic Violence and Self-esteem, psychological
Empowerment and Self-Regulation, Self Esteem and Psychological empowerment, Self-Esteem and Selfregulation, Self-Regulation and Adolescent Risky Behavior and identify the stronger predictor of self-regulation
between psychological empowerment and Self-esteem. Adolescent respondents who experienced domestic
violence were purposely selected and guided by teachers and administrators who had provided support to these
children.The questionnaire had six sections namely; personal information, the Child Exposure to Domestic
Violence Scale, the Psychological empowerment scale, the Rosenberg Self-esteem Inventory, and the Brief
Self-Control Scale. Data analysis employed Pearson's product-moment correlation (r) to test hypotheses 1,
2,3,4,5, and 6. Regression analysis was used for hypothesis 7.The results show a significant relationship
between domestic Violence and Psychological Empowerment, Domestic Violence and Self-esteem,
psychological Empowerment and Self-Regulation, Self Esteem and Psychological empowerment, Self-Esteem
and Self-regulation, Self-Regulation, and Adolescent Risky Behavior. The study documents that Psychological
empowerment is a stronger predictor of self-regulation than Self-esteem.
KEYWORDS:Domestic violence, psychological empowerment, self-regulation, and Adolescent risky behavior
Driving Sustainable Competitive Advantage Through an Innovative Aggregator Bu...AJHSSR Journal
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Sustainable Competitive Advantage (SCA). Through a survey of 216 MSMEs in the creative economy sector
selected randomly using an ex post facto causal research approach, an overview of the aggregator business
model and its impact on financial resources and SCA was obtained. The aggregator business model plays a role
in facilitating increased access to financial resources to meet both available and required working capital for
realizing SCA in Malang's Lokanima area. The strength of ABM lies in understanding the resources needed for
SCA and the effectiveness of mobilizing services while considering the most cost-effective options, including
providing various alternatives in their provision. Financial resources are an important factor supporting the
achievement of SCA. Access to financial resources is key to facilitating business growth and sustainability.
Theoretical implications: The concept of the aggregator business model emphasizes the efficient and effective
collection, aggregation, and distribution of resources in connecting service providers with consumers in an
economical and efficient manner. Practical implications: ABM can enhance the performance of financial
resource provision by optimizing relationships with MSMEs and financial institutions, leading to business
growth and sustainability for MSMEs.
KEYWORDS -Aggregator Business, Creative Economy, Financial Resources, Sustainable Competitive
Advantage
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sine, cosine, tangent, and cotangent values for a wide range of angles. We compare the results provided by
ChatGPT with the accuracy values determined by basic trigonometry. We also explore differences in accuracy
depending on changes in question complexity and given context. The results show a high level of accuracy of
ChatGPT in determining the values of trigonometric functions, especially for common angles. However, it is
noted that accuracy may be affected in certain cases of extreme angles or complex questions. This analysis
provides an important representation of ChatGPT's capabilities in the field of mathematics, using a new method
for testing the accuracy of artificial intelligence models in determining trigonometric values.
Keywords -Accuracy, AI Model, ChatGPT, Trigonometric Functions, Trigonometry
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fragmentation, and the lack of clear boundaries, and how they challenge traditional marketing approaches. The
paper also looks at the contributions of postmodern marketing to consumer and marketing research and how it
has redefined the way we think about marketing as a science. Ultimately, it raises the question of whether and
how marketing should adapt itself to the new conditions brought about by postmodernism.
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Indonesia is organized by BPJS Kesehatan (Social Security Administering Body for Health). The
implementation of BPJS Kesehatan is still not optimal and effective. Three problems are discussed in this
writing: the dynamics of health insurance governance in Indonesia, the implementation of the fulfillment of the
right to health by BPJS Kesehatan, and the reorientation of BPJS Kesehatan services toward social justice.
These problems are then answered by scientific research methods using a sociological juridical approach.
Complaintsoften occur regarding the regulations, the services provided by the health facility providers, and the
distance between the community and the health facilities. Such complaints affect the public interest in becoming
BPJS Kesehatan participants. The aforementioned conditions must be considered and evaluated for the
government's success in the aspired national health insurance plan.
KEYWORDS -BPJS Kesehatan, Health Insurance, Social Justice
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successes and failures since their implementation in 2014, there is limited research on the integration of subSaharan African children into schools. This paperis part of a Ph.D. research project that aims to fill this gap. It
reports the main findings of a study conducted with migrant children enrolled in two public schools in Rabat,
Morocco, exploring how integration is defined by the children themselves and identifying the obstacles that they
have encountered thus far. The following paper uses an inductive approach and primarily focuses on the
relationships of children with their teachers and peers as a key aspect of integration for students with a migration
background. The study has led to several crucial findings. It emphasizes the significance of speaking Colloquial
Moroccan Arabic (Darija) and being part of a community for effective integration. Moreover, it reveals that the
use of Modern Standard Arabic as the language of instruction in schools is a source of frustration for students,
indicating the need for language policy reform. The study underlines the importanceof considering the
children‟s agency when being integrated into mainstream public schools.
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KEYWORDS: migration, education, integration, sub-Saharan African children, public school
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and relevant to the subjectunderstudy. This enabled us to arrive at the resultsaccording to which the
stakeholders' perceptions of theirhealth are based on the practice of physicalactivities and sport as a social
construct in a socio-cultural context. Older people see sport as a way of curingillnesses, but above all as a way
of givingtheir bodies vitality. Othersseeit as a way of reinvigoratingthemselvesafter retirement.
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Detecting Financial Statement Manipulation in Selected Indian Telecom Companies Using Beneish M-Score Model
1. American Journal of Humanities and Social Sciences Research (AJHSSR) 2023
A J H S S R J o u r n a l P a g e | 107
American Journal of Humanities and Social Sciences Research (AJHSSR)
e-ISSN : 2378-703X
Volume-07, Issue-10, pp-107-116
www.ajhssr.com
Research Paper Open Access
Detecting Financial Statement Manipulation in Selected Indian
Telecom Companies Using Beneish M-Score Model
Arshe Azam1
, Afreen Begum2
1
Research Scholar, Department of Management and Commerce, Maulana Azad National Urdu University
Hyderabad, Telangana, India
Email: azamarshe0@gmail.com
2
Research Scholar, Department of Management and Commerce, Maulana Azad National Urdu University
Hyderabad, Telangana, India
Email: afreenbegum94407@gmail.com
ABSTRACT : The Indian telecom sector, with 1.17 billion users and the second-largest market globally, is
experiencing exponential growth due to factors like affordable prices, accessibility, and government initiatives.
The introduction of 5G technology has accelerated this growth, with projections of 920 million mobile users by
2025 and an economic boost of $450 billion between 2023 and 2040. Financial statement manipulation poses a
significant challenge in the realm of corporate finance, potentially misleading investors and stakeholders. This
study delves into the intricate domain of financial statement analysis, focusing on five Indian telecom companies,
a sector pivotal to the nation's economic growth with a period of five years from 2018 to 2022. Employing the
renowned Beneish M-Score Model, this research endeavors to detect instances of financial statement manipulation
within the chosen telecom entities. This paper also explores a quantitative analysis using the Beneish M-score
model was used to investigate earnings manipulation within Indian telecom firms. The study highlights the
complexities of financial statement fraud in the telecom sector and the need for vigilance for sustainable growth
and investor confidence.
KEYWORDS: Financial Statement Manipulation, Beneish M-Score Model, Indian Telecom Companies,
Financial Fraud Detection, Earnings Manipulation, Not Earnings Manipulation.
I. INTRODUCTION
The Indian telecom companies have 1.17 billion users (wireless + wireline subscribers) as of September 2022,
India's telecom sector is the second largest in the world. India has a teledensity of 84.86% overall, with a rural
market that is mainly unexplored with a teledensity of 58.01% and an urban market that has a teledensity of
134.62%. A total of 839.18 million people (narrowband + broadband users) had internet access by the end of
January 2023, with 44.25% of those people living in rural areas. Additionally, the average monthly data usage per
wireless data subscriber has climbed by 22,605%, from 61.66 MB in March 2014 to 16.40 GB in June 2022.
Affordable prices, increased accessibility, the introduction of Mobile Number Portability (MNP), expanding 3G
and 4G coverage, changing subscriber consumption patterns, government initiatives to increase India's domestic
telecom manufacturing capacity, and a supportive regulatory environment have all contributed to the industry's
exponential growth over the past few years.
The Government has authorized the sale of IMT/5G spectrum for the nationwide deployment of 5G services in
order to speed up digital connection even more. By the end of July 2022, this auction had been successfully
completed and brought in $18.77 billion. With 6.43% of all FDI inflows, the telecom sector ranks third in terms
of the amount of FDI received. It supports 2.2 million jobs directly and 1.8 million jobs indirectly. The amount of
FDI in the telecom sector between 2014 and 2021 increased by 150%, from $8.32 billion to $20.72 billion. In
Telecom, 100% Foreign Direct Investment (FDI) is currently permitted. Infrastructure, Equipment, Mobile Virtual
Network Operators (MNVO), White Space Spectrum, 5G, Telephone service providers, and Broadband are the
subsectors that make up the telecommunications sector. By 2025, India is predicted to have 920 million unique
mobile customers, including 88 million 5G connections, making it the second-largest smartphone market in the
world. This is according to the GSMA. It is predicted that 5G technology will boost the Indian economy by $450
billion between 2023 and 2040.
In nearly the past ten years, India has added nearly 500 million additional smartphone users. By 2026, there will
be 850 million smartphone users or around 55% of the population. In order to actualize a new variety of options,
business models, and employment potential, the Government of India wants to establish 100 labs for creating
2. American Journal of Humanities and Social Sciences Research (AJHSSR) 2023
A J H S S R J o u r n a l P a g e | 108
applications using 5G services in engineering universities under the Union Budget 2023. By December 2022, the
DoT hopes to have installed 30 lakh km of fiber optic cable, 55% of mobile towers have been built, and all villages
have 100 percent internet connectivity. From 61 million in March 2014 to 816 million in September 2022,
broadband connections increased by 1238%. By December 2024, DoT hopes to have 70% of towers fiberized,
average internet speeds of 50 Mbps, and a rollout of 50 lakh km of fiber optic cable across all of India.
According to the Network Readiness Index 2022, India moved up six positions to take up position 61.
➢ India ranks second in both "International Internet bandwidth" and "Mobile broadband internet traffic
within the country."
➢ Internet connections increased by 232%, from 25.15 crore in March 2014 to 83.69 crore in June 2022.
➢ From 6.1 crore in March 2014 to 81.62 crore in September 2022, the number of broadband connections
increased by 1238%.
➢ Average revenue realization per subscriber for every gigabyte of cellular data decreased from Rs. 268.97
in December 2014 to Rs. 10.29 in June 2022, a decrease of more than 96.17%.
➢ From 61.66 MB in March 2014, the average monthly data consumption per wireless data subscriber
climbed by 266 times to 16.40 GB in June 2022.
➢ India ranks third in both "Domestic market size" and "Annual investment in telecommunication
services".
By the end of January 2023, 5G services had been deployed throughout all licensed service regions in 238 cities.
India moves up 10 ranks in the global rankings for average mobile speeds, from 79th in December to 69th in
January 2023. From 93.30 crore in March 2014 to 117.02 crore in October 2022, there were 25.42% more
telephone lines overall. In October 2022, there were 114.4 crore mobile connections. Urban telephone connections
increased by 17.06% from 55.52 crores in March 2014 to 64.99 crores in October 2022, while rural telephone
connections increased by 37.69%, almost twice as much as urban connections, from 37.78 crores in March 2014
to 52.02 crores in October 2022. In March 2014, the rural tele-density was 44%; by October 2022, it had increased
to 57.91%.
The total number of telecom customers is shown below in the tables, Pie-Chart and graphs.
Table-1 : Highlights of Telecom Subscription Data as on 30th June 2023
Particulars Wireless Wireline Total
(Wireless + Wireline)
Broadband Subscribers (Million) 826.37 35.10 861.47
Urban Telephone Subscribers (Million) 626.07 27.63 653.70
Net Addition in June 2023 (Million) -0.19 0.46 0.27
Monthly Growth Rate -0.03% 1.68% 0.04%
Rural Telephone Subscribers (Million) 517.51 2.68 520.19
Net Addition in June, 2023 (Million) 0.56 0.49 1.05
Monthly Growth Rate 0.11% 22.53% 0.20%
Total Telephone Subscribers (Million) 1143.58 30.31 1173.89
Net Addition in June, 2023 (Million) 0.37 0.95 1.32
Monthly Growth Rate 0.03% 3.23% 0.11%
Overall Tele-density (%) 82.25% 2.18% 84.43%
Urban Tele-density (%) 127.56% 5.63% 133.19%
Rural Tele-density (%) 57.53% 0.30% 57.83%
Share of Urban Subscribers 54.75% 91.16% 55.69%
Share of Rural Subscribers 45.25% 8.84% 44.31%
Sources: TRAI
The table-1 provides insights into the dynamics of broadband and telephone adoption, growth rates, and
the distribution of subscribers between urban and rural areas.
The wireless segment has a tele-density larger number of subscribers compared to the wireline segment
in both urban and rural areas. Urban areas have higher tele-density than rural areas, with the wireless
segment contributing significantly to this difference. The monthly growth rate of wireless broadband
subscribers is negative, indicating a slight decline. In contrast, the wireline broadband segment is
growing at a healthy rate. The rural wireline segment has an exceptionally high monthly growth rate,
which might be due to infrastructural improvements in rural connectivity. The total number of telephone
subscribers is dominated by the wireless segment. Urban areas have a larger share of subscribers in both
wireless and wireline categories.
3. American Journal of Humanities and Social Sciences Research (AJHSSR) 2023
A J H S S R J o u r n a l P a g e | 109
Pie-Chart-1
Sources:- https://en.wikipedia.org/wiki/List_of_telecom_companies_in_India
Pie-Chart-1 describes that Bharti Airtel Limited has 37.26 crores (372.6 million) Customers with 32% of the
Market Share. Reliance Jio Infocomm Ltd has 43.63 crore (436.3 million) Customers with 37% of the Market
Share. Mahanagar Telephone Nigam Ltd has 2.15 crore (21.5 million) Customers with 2% of the Market Share.
Vodafone Idea Ltd has 23.09 crore (230.9 million) Customers with 20% of the Market Share. Bharat Sanchar
Nigam Limited (BSNL) has 10.14 crore (101.4 million) Customers with 9% of the Market Share. It has been
identified that Reliance Jio Infocomm Ltd has the largest customer base, with 43.63 crore customers, constituting
37% of the market share. It holds the highest market share among the listed companies. Bharti Airtel Limited
follows closely with 37.26 crore customers and a market share of 32%. It's one of the major players in the market.
Vodafone Idea Ltd has a customer base of 23.09 crore and holds 20% of the market share. It's another significant
player, although slightly smaller than Airtel and Jio in terms of both customers and market share. Bharat Sanchar
Nigam Limited (BSNL) has 10.14 crore customers and a market share of 9%, making it a notable player but with
a smaller presence compared to the top three. Mahanagar Telephone Nigam Ltd has the smallest customer base of
2.15 crore, contributing to a mere 2% of the market share. It appears to be a relatively smaller player in the market.
In short, Reliance Jio and Bharti Airtel are the dominant players with the largest customer bases and higher market
shares. Vodafone Idea and BSNL hold significant positions as well, while Mahanagar Telephone Nigam Ltd seems
to have a relatively smaller market presence.
This quantitative study looked at whether earnings manipulation occurs at a selected Indian telecom firm and
whether there is a connection between profit manipulation and failures at a selected Indian telecom company. The
M-Score model's validity as the best instrument for predicting the demise of selected Indian Telecom firms was
ultimately validated.
H1. Published financial statements of selected Indian Telecom companies are not manipulated prior to their failure
H2. There is no relationship between earnings manipulation and the failure of selected Indian Telecom companies
H3. The M-score model is statistically insignificant in optimal predicting selected Indian Telecom companies'
failure.
The paper used the Beneish M-score model to assess the proposed hypotheses (H1, H, and H3). The M-score
approach is useful for identifying financial statement manipulation in corporate entities. The Z-score model, for
example, focuses on broad corporate financial hardship in contrast to other multivariate analyses like the M-score,
which enables researchers to use particular factors to investigate the link between financial statement
abnormalities and a firm's demise. The M-score model has been attributed to helping users identify potential fraud
situations based on the financial statements of businesses as an integrated method. This is made feasible by the
model's ability to analyze multiple aspects of a company's performance at once. highlighted the fact that
37.26, 32%
43.63, 37%
2.15, 2%
23.09, 20%
10.14, 9%
Market Share of Subscriber Selected Telecom Companies as on
31st March 2023 (in Crore and %)
Bharti Airtel Limited
Reliance Jio Infocomm Ltd
Mahanagar Telephone Nigam Ltd
Vodafone Idea Ltd
Bharat Sanchar Nigam Limited
4. American Journal of Humanities and Social Sciences Research (AJHSSR) 2023
A J H S S R J o u r n a l P a g e | 110
organizations with a high likelihood of earnings manipulation are more likely to report low returns in the future
compared to those with a low exposure to profit manipulations.
Additionally, a lot of academics and practitioners have praised the Beneish M-score model for helping institutional
investors and regulators quickly spot possible corporate financial statement manipulation. The outcomes of the
M-score model, according to a new study, are a good guide for averting pricey litigation and reputational harm to
many stakeholders, including auditors and financial analysts. In addition to the reasons already indicated, the
research adds to the body of knowledge regarding the fraud triangle.
II. REVIEW OF LITERATURE
Maximizing total returns on investment is the main goal of every profit-driven organization. Corporate
managers work to reassure investors that their assets are secure and safe for this and other reasons. As a result,
businesses typically use a variety of tactics—both moral and occasionally immoral—to accomplish their
objectives. This study concentrated on one of these immoral techniques, specifically financial statement
manipulations, which frequently result in investors receiving returns that are zero or negative.
The study looks at external pressure, industry characteristics, and rationalization as contributing causes of
financial statement fraud. It constructs a hypothesis about the impact of these variables using the Beneish m-score.
Future research might benefit from understanding how pressure, opportunities, and justification all affect
misleading financial statements, according to the findings (Harpan, D., & Kuntadi, C. 2023). The study looks into
how corporate profitability manipulation affects Ghana's microfinance institutions. The researchers discovered a
connection between earnings manipulation and business failures using data from the Bank of Ghana. It was
discovered that the Beneish M-scores model is useful for seeing early warning indications of corporate earnings
management and averting bad outcomes. The conclusions, however, are based on data from the microfinance
sector, and future studies should take qualitative inquiry and data from many industries into consideration
(Adoboe-Mensah, et al. 2023). This study looks at how external pressure, financial targets, and financial stability
affect the prevalence of fabricated financial statements in 30 property and real estate firms that were listed on the
Indonesia Stock Exchange between 2015 and 2017. The findings demonstrate that falsified financial statements
are favorably impacted by both financial targets and financial soundness. Pressure from without has no beneficial
effects (Djatnicka, E. W., et al. 2023). The study looks at the connection between returns and the Beneish-M score,
an index used to judge how well a corporation has manipulated its profitability. The findings demonstrate that the
market penalizes fiscal manipulation because Indian enterprises with an M-score above -1.78 report worse returns
in the following year. According to the research, investors should steer clear of businesses that use the Beneish
M-score (Jain, G., & Bose, A. 2023). In order to identify financial fraud and business failure in US-listed
companies, the study contrasted the f-score and the Beneish M-model. Results showed that the M-score was
superior in spotting anomalies in financial statements (Hou, B., et al. 2023, June). With a focus on the influence
of pressure, opportunity, and rationalization on misleading financial statements, the study examined
manufacturing companies listed on the Indonesia Stock Exchange from 2018 to 2020. Logistic regression analysis
was used with 23 companies and 69 respondents. The findings indicated that, in contrast to other characteristics,
financial stability, and inefficient monitoring have a major impact on financial statement fraud (Rahmani, H. F.,
& Oktalita, L. 2023). The fraud hexagon theory's effects on fraudulent financial reporting in 49 Indonesian
consumer goods companies are investigated in this study. The study discovered that external pressure and auditor
changes had a favorable impact on false reporting, whereas financial targets had a negative impact, based on prior
findings and small studies. Stability, weak oversight, director turnover, haughtiness, and political ties, however,
have no bearing on false reporting (Ginting, D. B., & Daljono, D. 2023). The study looks for characteristics that
lead to earnings management in 284 Indonesian manufacturing organizations using a fraud triangle and a modified
Beneish M-score. The findings indicate a negative correlation between asset growth, receivables to sales, auditor
changes, and debt ratio, although the return on assets has no bearing. The modified Beneish M-score model is
being used for the first time in this study to identify earnings management (Narsa, N. P. D. R. H., et al. 2023).
Using the Beneish M-Score Model, the study investigates the connection between earnings manipulation and
share price across publicly traded companies in Malaysia. With the help of the FTSE Bursa Malaysia Top 100
Index, it examined data from 65 PLCs. The findings suggested that other factors may affect share price since there
was only a weakly negative link and statistically negligible relationship between earning manipulation and share
price. The study is essential for stakeholders looking for the highest profits, investment stability, and ownership
rights protection (Boni, L., Kamaluddin, A., & Kusumaningtias, R. 2023). This study uses a sample of 16
organizations with 10 years of observation to investigate financial manipulation in State-Owned Enterprises
(SOEs). According to the findings, 62 corporations are not manipulators and 98 companies are. The Beneish M-
Score model uses 8 variables to identify manipulation. Financial statement manipulation is impacted by GMI and
TATA. By improving sales and accounts receivable data, which show inefficiencies, SOEs increase permanent
income. Additionally, they show a positive improvement in the ratio of assets to liabilities and cash (Husein, H.,
et al. 2023).
5. American Journal of Humanities and Social Sciences Research (AJHSSR) 2023
A J H S S R J o u r n a l P a g e | 111
III. RESEARCH METHODOLOGY
This paper uses a quantitative research technique to inquiry based on the Beneish M-score model research used to accomplish
the goal. The Beneish M model makes use of various financial parameters or ratios of a certain selected Indian telecom
company to assess the likelihood that reported earnings were manipulated or not. The methodology adopted in this work is
similar to that of other researchers in that it permits the investigation of the sample variables over a representative interval
without affecting those variables. The data sources and the logic behind using the Beneish M-score model research are covered
in this section.
3.1 Data and its Sources
This paper totally depends on secondary data which are collected from financial reports of selected Indian telecom companies’
official websites through Capitaline for a period of five years which are from 2018 to 2022. This data was first gathered as
primary data on the Indian stock exchange and The Telecom Regulatory Authority of India (TRAI) where selected Indian
telecom companies were listed then the researcher collected from their websites through Capitaline. Indian Stock Exchange
also called the Stock Exchange Board of India (SEBI) has listed all companies that are registered and operated in India and
The Telecom Regulatory Authority of India (TRAI) controls and regulates all telecom companies that are operated in India.
The SEBI and TRAI’s research division is well known for its capacity to gather, examine, and disseminate reliable data, as a
result, it looks to be the most reliable source of information for this research. Almost 8500 telecom companies running their
business in India and the researcher has selected the top five Indian telecom companies. All data was collected by the researcher
through eight financial ratios.
3.2 Independent Variables and Empirical Model
In this section, the independent variables describe how to use variables to calculate the M-score and determine the Beneish M-
score Model. The researcher has used three important sources for selecting endogenous variables. First, the researcher has
focused on and identified key signals which are relied on by previous researchers. Second, there is a common perception about
the poor performance of a company in the future that there is mostly a possibility is manipulating their financial statements or
corporate financial earnings. Third, the researcher has focused on almost all possible financial reports like Balance sheets,
profit and loss accounts, and cash flow statements that are required for calculating ratios or variables. After these, the researcher
has chosen eight explanatory variables, Days' sales in a receivable index (DSRI), Gross margin index (GMI), Asset quality
index (AQI), Sales growth index (SGI), Depreciation index (DEPI), Sales and general and administrative expenses index
(SGAI), Leverage index (LVGI), and Total accruals to total assets (TATA). These variables are normally used as fair
explanatory variables by Beneish 1999 for predicting corporate earnings manipulations. These variables are useful for current
research.
There are summarized endogenous variables or ratios for the mathematical formula in Figure no-3. Each selected Indian
telecom company that was a part of the final sample had an average score that was calculated, separately weighted, and assessed
for manipulation of corporate earnings. Beneish (1999) has recommended that the researchers use data from financial
statements to calculate the M-score to detect possible manipulation of selected Indian telecom companies’ earnings because
the researchers have 76% accuracy in detecting companies’ financial earnings manipulation by the M-score formula. As a
result, the method provides a solid tool for this research. Consequently, the formula for the tried-and-true and widely accepted
Beneish M-score model utilized for this paper is as follows.
M = −4.84 + 0.920*DSRI + 0.528*GMI + 0.404*AQI + 0.892*SGI + 0.115*DEPI –
0.172*SGAI + 4.679*TATA – 0.327*LVGI
Figure-1
Sources: - Beneish et al. (2013) and Adoboe-Mensah et al. (2023)
6. American Journal of Humanities and Social Sciences Research (AJHSSR) 2023
A J H S S R J o u r n a l P a g e | 112
Where,
M = The following is a succinct explanation of the overall index and the endogenous variables:
3.2.1 DSRI
Days’ Sales in Receivables Index, A sharp rise in the number of days for accounts receivable could indicate
hastened revenue recognition to boost profitability. This financial ratio determines whether or not variations in
sales are according to variations in receivables. This is calculated by dividing a firm’s days’ sales in receivables
in the current year (represented by t) by days’ net receivables in the previous year (t-1). The consistency between
a company's accounts receivable and the associated sales can be assessed using the DSRI. Corporate non-
manipulators have a DSRI mean value of 1.031, while earnings manipulators have a DSRI mean value of 1.465,
according to K. M. B. (2016), MacCarthy (2017), and Nyakarimi (2022). An increase in the index indicates that
more sales are being made on credit as opposed to cash, which means the business is having trouble collecting its
debts. This shows that a significant increase in DSRI indicates a high likelihood of management inflating revenue.
3.2.2 GMI
Gross Margin Index, in this ratio, a deteriorating gross margin sends a negative signal about a firm’s prospects
and creates an incentive to inflate profits. Beneish 1999, Nyakarimi, 2022, and Repousis, 2016 Utilizing this
index, one can determine whether the gross margin—defined as sales less cost of goods sold—has decreased. It
is determined by dividing the current year's gross profit margin (t) by the previous year's gross profit margin (t-
1). GMI greater than 1 indicates a decline in the entity's gross profit. A score of 1.193 and higher indicates a
significant likelihood that the company's gross profit is being manipulated, while a score of 1.041 or lower
indicates that the gross profit of the current accounting period is not being manipulated (Harrington 2005).
3.2.3 AQI
The AQI is the proportion of a company's total assets to all non-current assets (excluding plant, property, and
equipment and comparisons with the ratio of a firm's asset quality in the current year (t) to its asset quality in the
prior year (t-1). (Beneish, 1999; 2012; Repousis, 2016). This index's increase indicates a decline in asset quality.
According to Beneish (1999), an AQI > 1 indicates a propensity to capitalize intangibles or expenses or to delay
costs.
3.2.4 SGI
Sales Growth Index is a high-growth company that may commit financial fraud due to financial pressure and
capital needs and may face increased incentives to manipulate earnings during slowdowns due to large stock price
losses. The growth in sales between financial periods is the subject of this index. It has to do with the proportion
of a company's current-year sales (t) to its sales from the prior year (t-1). SGI's median score of 1.134 indicates
no earnings manipulation, while 1.607 indicates possible manipulation (Beneish, 1999; 2012; Repousis, 2016;
Nyakarimi, 2022).
3.2.5 DEPI
Depreciation is when a company may have increased the projected useful life of assets or implemented a new,
income-increasing approach if its rate of depreciation is declining relative to net fixed assets. This measurement
represents the ratio of a company's depreciation rate from the prior year (t-1) to the current year's rate (t). If a
score of DEPI>1, it means, there is a deliberately lowering depreciation rate of companies' assets (Beneish 1999
and Harrington 2005).
3.2.6 SGAI
Sales, General, and Administrative Expenses A company can feel pressured to inflate earnings if analysts perceive
a disproportionate rise in SG&A relative to sales as a warning indication about the company's future prospects. It
is a ratio of a company's sales, general, and administrative costs for the current accounting year (t) to the value for
the prior year (t-1) (Beneish, 1999; and Repousis, 2016). According to Beneish (1999), it noted that a sales growth
that is excessively greater than 1.001 from one year to the next in the current year is a sign of poor future prospects.
3.2.7 TATA
Total Accruals to Total Assets, Total accruals, calculated as working capital change less depreciation, indicate
managers' discretionary accounting choices to alter earnings, with higher levels indicating higher profit
manipulation. According to (Beneish, 1999, and Adu-Gyamfi, 2020), The entire accruals of a company are
expressed as a proportion of its total assets using this ratio. It is computed by subtracting the income from
continuing activities for the same year (t) from the cash flows from operations for the firm in the current year (t).
The total assets of the company for the year under consideration are then divided by the net result. If there is an
average score of 0.018, it means non-financial manipulation; if an average score of 1.031 or more, it means
deliberately changing the data (Repousis, 2016).
3.2.8 LVGI
Leverage Index where Total debt divided by total assets measures leverage. An incentive to manipulate profits in
order to meet debt covenants is created by an increase in leverage. LVGI is the ratio of the current accounting
period's (t) and the prior period's (t-1) total debt to total asset ratios. Rising leverage is indicated by a firm's LVGI
> 1 (Beneish, 1999, Nwoye et al., 2012, and Repousis, 2016). So, it is a threat to investors for their future return
7. American Journal of Humanities and Social Sciences Research (AJHSSR) 2023
A J H S S R J o u r n a l P a g e | 113
on Investment that if LEVI>1, it means a company's leverage position has increased (Beneish, 1999, and
Harrington, 2005).
Table-2 : Description of M-score outcome factors
M-Score Results
M>-1.78 The higher possibility of earnings manipulation (Earnings Manipulation)
M<-1.78 The lower possibility of earnings manipulation (Not Earnings Manipulation)
Source: Beneish et al. (2013)
3.3 Estimation and Specification of Model
Table 2 shows the measurement criteria and the results of the variable for the M-score. Where, if the M-score
value is M>-1.78 then it means there is a higher possibility of earning manipulation by corporate or company
management, and if the M-score value is M<-1.72 then it means there is a lower possibility of earning
manipulation by corporate or company management (Beneish et al. 2013).
Figure 1 highlights the individual factors that, taken together, can have an impact on a business's ability to continue
operating. According to Beneish et al., companies that use aggressive and dishonest accounting concepts,
procedures, and standards eventually fail. In order to boost business earnings, corporate managers are urged to
use practical strategies.
IV. DESCRIBE THE RESULT AND FINDINGS
In this section researcher has focused on the analysis of the selected Indian telecom company. The Beneish M-
score is a mathematical model used to detect earnings manipulation in the financial statements of selected Indian
telecom companies. The score is calculated based on various financial ratios and other accounting metrics. Alower
M-score suggests a lower likelihood of earnings manipulation, while a higher M-score indicates a higher
likelihood of manipulation.
Table-3 : Beneish M-score of Selected Indian Telecom Companies
Name of the Companies 2018 2019 2020 2021 2022
Bharti Airtel Limited
-1.0979 -1.6471 -1.7133 -0.9226 -1.2147
Reliance Jio Infocomm Ltd -1.2024 -1.6594 -1.6228 -0.5396 -0.8706
Mahanagar Telephone Nigam Ltd
-1.3966 -1.6226 -1.7468 -1.3247 -0.6497
Vodafone Idea Ltd
-1.3125 -1.1128 -1.8118 -0.8265 -0.8437
Bharat Sanchar Nigam Ltd
-1.7132 -1.2681 -1.4649 -1.1825 -0.8025
Table-3(a)
Describe Earnings Manipulation or Not Earnings Manipulation of the Selected Indian Telecom
Companies
Name of the Companies 2018 2019 2020 2021 2022
Bharti Airtel Limited. Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Reliance Jio Infocomm Ltd. Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Mahanagar Telephone Nigam
Ltd.
Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Vodafone Idea Ltd. Not Earnings
Manipulation
Not Earnings
Manipulation
Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Bharat Sanchar Nigam Ltd. Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
Not Earnings
Manipulation
8. American Journal of Humanities and Social Sciences Research (AJHSSR) 2023
A J H S S R J o u r n a l P a g e | 114
Looking at the provided data for the years 2018 to 2022, here's an interpretation of the Beneish M-scores for the
selected companies. Table 3 describes mathematical data, and Table 3(a) describes their position according to the
calculated
Table 3 describes the M-scores for Bharti Airtel Limited have fluctuated over the years, ranging from -1.0979 in
2018 to -1.7147 in 2022. These scores generally indicate a relatively low likelihood of earnings manipulation,
with some fluctuations. Reliance Jio Infocomm Ltd also shows fluctuating M-scores, ranging from -1.2024 in
2018 to -0.8706 in 2022. These scores suggest a relatively low likelihood of earnings manipulation, with a slight
decrease in 2022. Mahanagar Telephone Nigam Ltd's M-scores have been consistently low, indicating a lower
likelihood of earnings manipulation. The scores range from -1.3966 in 2018 to -0.6497 in 2022. Vodafone Idea
Ltd's M-scores have varied, with a low of -1.8118 in 2020 and a slight increase to -0.8437 in 2022. These scores
suggest a generally low likelihood of earnings manipulation, although there was a spike in 2020. Bharat Sanchar
Nigam Ltd started with an M-score of -1.7132 in 2018, indicating a low likelihood of earnings manipulation. The
scores improved slightly in the following years, reaching -0.8025 in 2022. So, the above data also describe that
all selected companies generally exhibit low M-scores, indicating a lower likelihood of earnings manipulation
during the specified period. Fluctuations in M-scores for some companies suggest possible changes in their
financial reporting practices or underlying financial health. It's important to note that while M-scores provide
insights, they are not definitive proof of manipulation and should be considered alongside other financial analyses
and due diligence processes.
Table 3(a) describes the M-scores for Bharti Airtel Limited indicating "Not Earnings Manipulation" for all years,
suggesting a low likelihood of earnings manipulation. Reliance Jio Infocomm Ltd, the company also shows "Not
Earnings Manipulation" for all years, indicating a low likelihood of earnings manipulation. Mahanagar Telephone
Nigam Ltd similar to the other companies, Mahanagar Telephone Nigam Ltd has "Not Earnings Manipulation"
for all years, suggesting a low likelihood of earnings manipulation. Vodafone Idea Ltd, this company had an
instance of "Earnings Manipulation" in the year 2020. However, in the other years, it shows "Not Earnings
Manipulation", indicating a generally low likelihood of manipulation except for 2020. Bharat Sanchar Nigam Ltd,
the M-scores for this company also indicate "Not Earnings Manipulation" for all years, suggesting a low likelihood
of earnings manipulation. based on the Beneish M-scores and their interpretations, these selected Indian
companies generally show a low likelihood of earnings manipulation in the specified years, except for Vodafone
Idea Ltd in the year 2020.
Graph- 1
Graph 1 also describes the data of the selected Indian telecom companies that where the chances of either corporate
earnings manipulation or not corporate earnings manipulation in the respective years. Here only one Indian
telecom company namely Voda Idea Ltd is the possibility for earnings manipulation in 2020 and the rest of the
year, all Indian telecom companies have indicated that there is no possibility of corporate earnings manipulation
in the respected ears.
Bharti Airtel
Limited
Reliance Jio
Infocomm Ltd
Mahanagar
Telephone Nigam
Ltd
Vodafone Idea Ltd
Bharat Sanchar
Nigam Ltd
2018 -1.0979 -1.2024 -1.3966 -1.3125 -1.7132
2019 -1.6471 -1.6594 -1.6226 -1.1128 -1.2681
2020 -1.7133 -1.6228 -1.7468 -1.8118 -1.4649
2021 -0.9226 -0.5396 -1.3247 -0.8265 -1.1825
2022 -1.2147 -0.8706 -0.6497 -0.8437 -0.8025
-1.0979 -1.2024
-1.3966 -1.3125
-1.7132
-1.6471 -1.6594 -1.6226
-1.1128
-1.2681
-1.7133 -1.6228
-1.7468 -1.8118
-1.4649
-0.9226
-0.5396
-1.3247
-0.8265
-1.1825
-1.2147
-0.8706
-0.6497
-0.8437 -0.8025
-2
-1.8
-1.6
-1.4
-1.2
-1
-0.8
-0.6
-0.4
-0.2
0
Beneish M-score
2018 2019 2020 2021 2022
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A J H S S R J o u r n a l P a g e | 115
V. CONCLUSION
The Indian telecom sector has experienced remarkable growth and development over the years, making it one of
the largest and most dynamic industries globally. The sector has seen significant advancements in technology,
infrastructure, and market penetration, with a substantial increase in the number of subscribers, internet users, and
broadband connections. The government's initiatives, supportive regulatory environment, and the introduction of
5G technology have played pivotal roles in shaping the industry's landscape. The Beneish M-score model analysis
presented in this study provides valuable insights into the financial practices of selected Indian telecom companies.
The results indicate that, for the most part, these companies have maintained a low likelihood of earnings
manipulation, as suggested by consistently low M-scores. The fluctuations observed in some years emphasize the
need for continuous vigilance and comprehensive financial analysis to understand the underlying factors
influencing these variations. It is essential to recognize the importance of such analyses, especially in a sector as
crucial as telecom, where financial stability and transparency are vital for sustainable growth. The findings of this
study contribute to the ongoing discourse on corporate financial practices and serve as a valuable resource for
investors, regulators, and industry stakeholders. As the Indian telecom sector continues to evolve and expand, it
is imperative for companies to uphold ethical financial standards, ensuring transparency and trust among their
stakeholders. Continued research and analysis, along with robust regulatory oversight, will play a significant role
in shaping the future trajectory of this dynamic industry.
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