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Information Journal Paper

Title

THE IMPACT OF POLITICAL RISK ON STOCK RETURN VOLATILITY IN IRAN

Pages

  41-62

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Abstract

 Previous research shows that political risk as one of the risk sources might have a considerable effect on stock returns. This paper focuses on Iran as a country that in recent periods has experienced a number of diverse political events and happenings. The paper is an attempt to capture the effect of political risk on stock return volatility as evidenced by Iran. The paper's findings indicate that political risk has significantly affected stock returns in Iran during the 1379-1384 periods. However, the reaction of stock returns to positive and negative political news and events was asymmetrical. The conclusions can be used to manage political risk and stock market transactions.

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    APA: Copy

    HOSSEININASAB, S.E., & IZAN LOU, GH.. (2008). THE IMPACT OF POLITICAL RISK ON STOCK RETURN VOLATILITY IN IRAN. ECONOMIC RESEARCH REVIEW, -(2), 41-62. SID. https://sid.ir/paper/67319/en

    Vancouver: Copy

    HOSSEININASAB S.E., IZAN LOU GH.. THE IMPACT OF POLITICAL RISK ON STOCK RETURN VOLATILITY IN IRAN. ECONOMIC RESEARCH REVIEW[Internet]. 2008;-(2):41-62. Available from: https://sid.ir/paper/67319/en

    IEEE: Copy

    S.E. HOSSEININASAB, and GH. IZAN LOU, “THE IMPACT OF POLITICAL RISK ON STOCK RETURN VOLATILITY IN IRAN,” ECONOMIC RESEARCH REVIEW, vol. -, no. 2, pp. 41–62, 2008, [Online]. Available: https://sid.ir/paper/67319/en

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