Effects of credit Risk indicators on shareholders' value of commercial banks in IRAN

Journal Title: International Research Journal of Applied and Basic Sciences - Year 2013, Vol 6, Issue 8

Abstract

This research aim to determine indicators of credit risk and investigates effects of this indicators on shareholders' value in commercial banks of Iran. For this goal all of the accepted commercial banks in Tehran stock exchange in a 6 years period from 2005 to 2010 investigated. This study answer to: whether indicator of financial risk has significant effect on shareholders' value of commercial banks or not? With one main hypothesis, four indicators of credit risk investigated and hypothesis tested. Hypothesis testing and data analyzing done based on linear regression by Spss.v19. results confirmed effective role of credit risk indicators on shareholders' value mean fundamental hypothesis of research confirmed.

Authors and Affiliations

Hamid Reza Aghababaei| Responsible author: faculty of financial management, Kar University of Khoramdareh, Iran, graduated in M.A. degree in Financial management, Islamic Azad University of Qazvin, Qazvin, Iran. email: aghababaei.ha@gmail.com, Sanaz Ataei| Graduated in M.A. degree in financial management, Islamic Azad University of Abhar, Abhar, Iran. Sa_ataei2004@yahoo.com, hadi azizkhani| Graduated in electronic engineering from Zanjan state university, Iran. hadi_azizkhany@yahoo.com

Keywords

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  • EP ID EP6236
  • DOI -
  • Views 321
  • Downloads 8

How To Cite

Hamid Reza Aghababaei, Sanaz Ataei, hadi azizkhani (2013). Effects of credit Risk indicators on shareholders' value of commercial banks in IRAN. International Research Journal of Applied and Basic Sciences, 6(8), 1143-1149. https://europub.co.uk/articles/-A-6236