A Synthesis of Theoretical Relationship between Systematic Risk and Financial and Accounting Variables

In this paper we summarize the theoretical relationship between beta, the measure of relative systematic risk on one hand and financial and accounting variables, such as leverage, size, growth in earnings, capital adequacy etc. The purpose is to bring together a comprehensive treatise of these relat...

Full description

Saved in:
Bibliographic Details
Main Authors: Lawrence, Edward R., Mishra, Suchismita, Prakash, Arun J
Format: Article
Language:English
Published: Universiti Utara Malaysia Press 2004
Subjects:
Online Access:http://repo.uum.edu.my/25109/1/IJBF%202%202004%2019%2027.pdf
http://repo.uum.edu.my/25109/
http://ijbf.uum.edu.my/index.php/previous-issues/133-the-international-journal-of-banking-and-finance-ijbf-vol-2-no-1-june-2004
Tags: Add Tag
No Tags, Be the first to tag this record!
id my.uum.repo.25109
record_format eprints
spelling my.uum.repo.251092018-11-01T01:21:57Z http://repo.uum.edu.my/25109/ A Synthesis of Theoretical Relationship between Systematic Risk and Financial and Accounting Variables Lawrence, Edward R. Mishra, Suchismita Prakash, Arun J HG Finance In this paper we summarize the theoretical relationship between beta, the measure of relative systematic risk on one hand and financial and accounting variables, such as leverage, size, growth in earnings, capital adequacy etc. The purpose is to bring together a comprehensive treatise of these relationships. Universiti Utara Malaysia Press 2004 Article PeerReviewed application/pdf en http://repo.uum.edu.my/25109/1/IJBF%202%202004%2019%2027.pdf Lawrence, Edward R. and Mishra, Suchismita and Prakash, Arun J (2004) A Synthesis of Theoretical Relationship between Systematic Risk and Financial and Accounting Variables. International Journal of Banking and Finance (IIJBF), 2. pp. 19-27. ISSN 1675-7227 http://ijbf.uum.edu.my/index.php/previous-issues/133-the-international-journal-of-banking-and-finance-ijbf-vol-2-no-1-june-2004
institution Universiti Utara Malaysia
building UUM Library
collection Institutional Repository
continent Asia
country Malaysia
content_provider Universiti Utara Malaysia
content_source UUM Institutionali Repository
url_provider http://repo.uum.edu.my/
language English
topic HG Finance
spellingShingle HG Finance
Lawrence, Edward R.
Mishra, Suchismita
Prakash, Arun J
A Synthesis of Theoretical Relationship between Systematic Risk and Financial and Accounting Variables
description In this paper we summarize the theoretical relationship between beta, the measure of relative systematic risk on one hand and financial and accounting variables, such as leverage, size, growth in earnings, capital adequacy etc. The purpose is to bring together a comprehensive treatise of these relationships.
format Article
author Lawrence, Edward R.
Mishra, Suchismita
Prakash, Arun J
author_facet Lawrence, Edward R.
Mishra, Suchismita
Prakash, Arun J
author_sort Lawrence, Edward R.
title A Synthesis of Theoretical Relationship between Systematic Risk and Financial and Accounting Variables
title_short A Synthesis of Theoretical Relationship between Systematic Risk and Financial and Accounting Variables
title_full A Synthesis of Theoretical Relationship between Systematic Risk and Financial and Accounting Variables
title_fullStr A Synthesis of Theoretical Relationship between Systematic Risk and Financial and Accounting Variables
title_full_unstemmed A Synthesis of Theoretical Relationship between Systematic Risk and Financial and Accounting Variables
title_sort synthesis of theoretical relationship between systematic risk and financial and accounting variables
publisher Universiti Utara Malaysia Press
publishDate 2004
url http://repo.uum.edu.my/25109/1/IJBF%202%202004%2019%2027.pdf
http://repo.uum.edu.my/25109/
http://ijbf.uum.edu.my/index.php/previous-issues/133-the-international-journal-of-banking-and-finance-ijbf-vol-2-no-1-june-2004
_version_ 1644284229310218240
score 13.160551