The development of capital market and bank risk: The case of Iran Cover Image

The development of capital market and bank risk: The case of Iran
The development of capital market and bank risk: The case of Iran

Author(s): Babak Jamshidi Navid, Parvane Shabantaheri
Subject(s): Economy, Business Economy / Management, Financial Markets, Public Finances, Accounting - Business Administration
Published by: Visoka škola za poslovnu ekonomiju i preduzetništvo
Keywords: Development Of Capital Markets; Risk; Beta; Income Diversification; Market Value

Summary/Abstract: This paper is an attempt to investigate about relationship between the development of capital market and bank risk in Tehran Stock Exchange. Three hypotheses were presented in this research. This is a descriptive- correlative research. Multi-variable regression was used in this research. According to results of this research, there is a significant relationship between the development of capital market and bank risk. Additionally, there is significant relationship between Beta, income variety, and market value and capital market development. Also, due to effective role of bank in Iran economy bridge market, it is possible to point out its effective role in capital market. Results of this research confirm this claim. It is suggested to stakeholders and users of banking information and capital market to pay attention to bank risks regard their decision-making.

  • Issue Year: 2017
  • Issue No: 1-2
  • Page Range: 99-107
  • Page Count: 9
  • Language: English
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