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International Journal of Nonlinear Analysis and Applications، جلد ۱۶، شماره ۱، صفحات ۱۲۳-۱۳۳

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عنوان انگلیسی Association between corporate governance and stock returns based on Fama and Macbeth two-stage regression (1973): A case study on companies in the Istanbul Stock Exchange
چکیده انگلیسی مقاله The present study aimed to assess the relationship between corporate governance factors and stock returns based on the capital asset pricing model and the Fama and French three-factor model. The statistical population included companies acting in the Istanbul Stock Exchange from 2010 to 2020. Using a systematic elimination sampling method, 70 companies were selected. The data panel method was used along with two-stage regression of Fama and Macbeth cite{43} and EViews11 software to estimate the models. The results represented a significant and positive relationship between the level of transparency in information disclosure, the structure of the directors' board, and the structure of ownership and shareholders' rights with stock returns based on the capital asset pricing equation. Moreover, there was a significant and positive relationship between the general index of corporate governance and the stock returns of companies based on the three-factor equation of Fama and French. This index is comprised of three sub-indices.
کلیدواژه‌های انگلیسی مقاله Corporate Governance,Capital asset pricing model,Fama and French three-factor model,Stock returns

نویسندگان مقاله Mehdi Aghabeigi |
Department of Accounting, Malekan Branch, Islamic Azad University, Malekan, Iran

Turan Ondes |
Faculty of Business Administration, Ataturk University, Turkey


نشانی اینترنتی https://ijnaa.semnan.ac.ir/article_8618_3f3e6e599be7a3b23395d00ca0a6a14c.pdf
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