Measuring the impact of the (2011-2012) financial crisis on the relationship between financial ratios and bank profits

سال انتشار: 1397
نوع سند: مقاله کنفرانسی
زبان: انگلیسی
مشاهده: 465

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شناسه ملی سند علمی:

AMSCONF05_771

تاریخ نمایه سازی: 5 آبان 1397

چکیده مقاله:

The purpose of this study was to investigate the effect of financial ratios of banks on bank performance in crisissituations. The research hypotheses were tested by using a multivariate regression model. Then, the results ofthe descriptive indexes of the data, the table of variables’ correlation coefficient and the analytical results oftesting research hypothesis were interpreted. The present research has been conducted to test the hypothesesbased on a sample of 19 banks in the period from 2009 to 2014 among the banks admitted to the Tehran StockExchange. The results showed that the crisis situation has an intermediary effect on the relationship betweenthe financial ratios and profitability of the bank, which are presented separately.

نویسندگان

Hamideh Alidoost

Master In Accounting ,Department Of Accounting , Faculty Of Humanities –Islamic Azad University, Mashhad, Iran

Mohammad Reza Abbaszadeh

Associate Professor, Department Of Accounting Faculty Of Economics And Administrative Sciences, Ferdowsi University Of , Mashhad, Iran

Mehdi Jabbari Nooghabi

Assistant Professor,Department Of Statistics, Ferdowsi University Of Mashhad, Mashhad-Iran