A Survey on the Relationship between Sale, Liquidity and Business Risk with Stock Returns at Companies Listed in Tehran Stock Exchange

Abstract

Tehran Stock. Based on data analysis based on a correlation test and descriptive test run. Descriptive statistics including measures of central tendency and dispersion are independent variables include sales, liquidity and business risk and stock return is the dependent variable According to the findings, investors and capital market participants to sell the sample firms and liquidity ratios have responded. The market capitalization of the company's business risk, and may not, other criteria can be considered in the risk assessment of companies.

Authors and Affiliations

Mahdi Bagheri, Abolghasem Gholamreza Tehrani, Elham Niromand Vojdani aval

Keywords

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  • EP ID EP638182
  • DOI 10.33945/SAMI/IJASHSS.2019.8.1327
  • Views 81
  • Downloads 0

How To Cite

Mahdi Bagheri, Abolghasem Gholamreza Tehrani, Elham Niromand Vojdani aval (2019). A Survey on the Relationship between Sale, Liquidity and Business Risk with Stock Returns at Companies Listed in Tehran Stock Exchange. International Journal of Advanced Studies in Humanities and Social Science, 8(1), 13-27. https://europub.co.uk/articles/-A-638182