The effect of financial robustness indicators on stock returns: An analytical study of a sample of Iraqi private banks listed in the Iraqi Stock Exchange for the period (2005-2021)

Zainab Makki Mahmood, Suhad Hussain Shyae, Lamyaa Ali Ibrahim
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Abstract

The research aims to demonstrate the effect of financial robustness indicators on stock returns in the banking sector. The research sample consisted of eight commercial banks listed in the Iraq Stock Exchange through their annual reports published in the Iraq Stock Exchange. These banks are (Baghdad, Iraqi Commercial, Investment, Sumer, The Middle East, the Iraqi National Bank, the Credit, The Commercial Gulf). For the period 2005-2021, using the statistical program [Microsoft Excel vs.10, Eviews V.12]. The research extracted a set of results, including the presence of a significant effect of indicators of financial robustness in Stock returns with the existence of a close relationship between financial robustness and stock returns, as it is not possible to achieve a rise in stock returns without the availability of financial robustness. The research concluded that the commercial banks, the research sample, vary in indicators of financial robustness. In light of this, the research came out with a number of recommendations, the most important of which is the need to adhere to measuring financial robustness indicators issued by the authorities concerned with banking guidance.
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财务稳健性指标对股票回报的影响:对2005-2021年在伊拉克证券交易所上市的伊拉克私人银行样本的分析研究
本研究旨在证明金融稳健性指标对银行业股票收益的影响。研究样本包括在伊拉克证券交易所上市的八家商业银行,它们的年度报告在伊拉克证券交易所公布。这些银行是(巴格达银行、伊拉克商业银行、投资银行、苏美尔银行、中东银行、伊拉克国家银行、信贷银行、商业海湾银行)。2005-2021年期间,使用统计程序[Microsoft Excel vs.10, Eviews V.12]。研究提取了一系列结果,包括财务稳健性指标对股票收益的影响显著,财务稳健性与股票收益之间存在着密切的关系,因为没有财务稳健性,股票收益是不可能上升的。研究得出的结论是,作为研究样本的商业银行在财务稳健性指标上存在差异。有鉴于此,该研究提出了一系列建议,其中最重要的是,有必要坚持衡量与银行业指导有关的当局发布的金融稳健性指标。
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