The relationship between return and market value of common stocks
نویسندگان
چکیده
منابع مشابه
The Relationship between Return and Market Value of Common Stocks*
This study examines the empirical relattonship between the return and the total market value of NYSE common stocks. It is found that smaller firms have had htgher risk adjusted returns, on average, than larger lirms. This ‘size effect’ has been in existence for at least forty years and is evidence that the capital asset pricing model is misspecttied. The size elfect is not linear in the market ...
متن کاملTHE RELATIONSHIP BETWEEN EARNINGS’ YIELD, MARKET VALUE AND RETURN FOR NYSE COMMON STOCKS Further Evidence*
The empirical relationship between earnings’ yield, firm size and relurns on the common stock ol NYSE firms is examined in this paper. The results conlirm that the common stock of high &P firms earn, on average. higher risk-adjusted returns than the common stock of low E/P lirms and that this efiect is clearly significant even if experimental control is exercised over difTcrcnces in lirm size. ...
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ژورنال
عنوان ژورنال: Journal of Financial Economics
سال: 1981
ISSN: 0304-405X
DOI: 10.1016/0304-405x(81)90018-0