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     Research Journal of Applied Sciences, Engineering and Technology

    Abstract
2013(Vol.5, Issue:17)
Article Information:

Investigating the Relationship between the Price to Earnings Ratio with the Return of Adjusted Stock in Capital Market of Iran

Akbar Bagheri, Oveis Bagheri Geigal and Mahmoud Lari
Corresponding Author:  Akbar Bagheri 
Submitted: December 12, 2012
Accepted: February 16, 2013
Published: May 01, 2013
Abstract:
The main objective of this study is to investigate and analyze the relationship between the prices to earnings ratio with the return of adjusted stock through total risk of companies listed on the Stock Exchange market of Tehran in Iran. The main objective of any investment is to achieve higher efficiency. Investors in shares of listed companies on the exchange considered several factors. The price to earnings ratio, return and risk are the factors that investors should consider when they want to invest in them. Therefore 100 companies have been investigated during the period 2004-2008. To test the hypothesis we used the regression analysis and correlation, also the significant of patterns were determined by using F and T test and correlation coefficients. The results show that there is no significant relationship between the prices to earnings ratio and adjusted stock returns in the 95% confidence level.

Key words:  Dividends per share, earnings per share, prices to earnings ratio, returns of each share, risk, ,
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Cite this Reference:
Akbar Bagheri, Oveis Bagheri Geigal and Mahmoud Lari, . Investigating the Relationship between the Price to Earnings Ratio with the Return of Adjusted Stock in Capital Market of Iran. Research Journal of Applied Sciences, Engineering and Technology, (17): 4411-4414.
ISSN (Online):  2040-7467
ISSN (Print):   2040-7459
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