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Cites:

Information Journal Paper

Title

RELATIONSHIP BETWEEN EARNING QUALITY (EARNINGS DISPERSION) AND STOCK RETURNS

Pages

  21-37

Abstract

 In this study, the relationship between STOCK RETURNS and EARNINGS DISPERSION in the companies listed in Tehran Stock Exchange was investigated. The main purpose of this research is to compare the correlation between aggregate STOCK RETURNS and EARNINGS DISPERSION based on the models developed by Jorgensen et al (2012). Tow hypotheses are set and tested by applying regression and t-test methods. Results of the study of 285 companies showed a positive relationship between aggregate STOCK RETURNS and contemporaneous EARNINGS DISPERSION. As a result, the first hypothesis concerning the relationship between aggregate STOCK RETURNS and contemporaneous EARNINGS DISPERSION is accepted, and the second hypothesis regarding to the relationship between aggregate STOCK RETURNS, and future EARNINGS DISPERSION is not accepted.

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    Cite

    APA: Copy

    DASTGIR, MOHSEN, GOOGERDCHIAN, AHMAD, & ADAMIAT, SETAREH. (2015). RELATIONSHIP BETWEEN EARNING QUALITY (EARNINGS DISPERSION) AND STOCK RETURNS. THE FINANCIAL ACCOUNTING AND AUDITING RESEARCHES, 7(26), 21-37. SID. https://sid.ir/paper/198070/en

    Vancouver: Copy

    DASTGIR MOHSEN, GOOGERDCHIAN AHMAD, ADAMIAT SETAREH. RELATIONSHIP BETWEEN EARNING QUALITY (EARNINGS DISPERSION) AND STOCK RETURNS. THE FINANCIAL ACCOUNTING AND AUDITING RESEARCHES[Internet]. 2015;7(26):21-37. Available from: https://sid.ir/paper/198070/en

    IEEE: Copy

    MOHSEN DASTGIR, AHMAD GOOGERDCHIAN, and SETAREH ADAMIAT, “RELATIONSHIP BETWEEN EARNING QUALITY (EARNINGS DISPERSION) AND STOCK RETURNS,” THE FINANCIAL ACCOUNTING AND AUDITING RESEARCHES, vol. 7, no. 26, pp. 21–37, 2015, [Online]. Available: https://sid.ir/paper/198070/en

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