The Relation between Corporate Governance Quality and Stock Return Volatility

The present study aims to investigate the relation between corporate governance quality and stock return volatility using a comprehensive index consisting three general sub-indices including board composition, shareholder rights and information transparency. Our sample includes 96 firms listed in Te...

Full description

Bibliographic Details
Main Authors: safiyeh daylami, Mehdi safari
Format: Article
Language:fas
Published: Alzahra University 2016-11-01
Series:پژوهش‌های تجربی حسابداری
Subjects:
Online Access:http://jera.alzahra.ac.ir/article_2539_873788fe5366fe0253510d166ec35eae.pdf