The Relatinship between Risk and Return and Banks Income Structure
سال انتشار: 1392
نوع سند: مقاله کنفرانسی
زبان: انگلیسی
مشاهده: 567
فایل این مقاله در 8 صفحه با فرمت PDF قابل دریافت می باشد
- صدور گواهی نمایه سازی
- من نویسنده این مقاله هستم
استخراج به نرم افزارهای پژوهشی:
شناسه ملی سند علمی:
EME02_1694
تاریخ نمایه سازی: 14 شهریور 1393
چکیده مقاله:
The present study investigates the effect of interest and non-interest activities on return and the risk of some Iranian banks over the period of 2006-2011 using regression analysis. The paper uses three independent variables where the first one is interest income and the second one is the commission fee income and the third one is obtained as a difference between other non-interest incomes with commission fee. There are three dependent variables including risk, return on investment, return on equity, leading us to set up three regression analysis. The result of the study indicates that interest based activities have a meaningful relationship only with bank return. And the non-interest based activities have a meaningful relationship with bank risk and return on equity
کلیدواژه ها:
نویسندگان
Prof Xu Fengju
Management school, Wuhan University of Technology,Wuhan, China
Rasool YariFard
PD.D. Student of Accounting, Wuhan University of Technology,Wuhan, China
Somayeh YariFard
Master of Economics, Central Tehran Branch Islamic Azad University, Tehran, Iran
Shima EhsanMaleki
Young Researchers and Elite Club, Central Tehran Branch, Islamic Azad University Tehran,Iran