Book to Market and Size as Determinants of Stock Returns of Banks: An Empirical Investigation from MENA Countries
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Cited by:
- Francesco Scalera, 2019. "The Maghreb Area Development. Threats and Opportunities for Italian Companies’ Investment Strategies," International Journal of Business Research and Management (IJBRM), Computer Science Journals (CSC Journals), vol. 10(4), pages 64-83, December.
- Senjuti Barua, 2020. "Firm Level Characteristics and Stock Returns: Evidence from Selected Insurance Companies Listed on the Dhaka Stock Exchange," Asian Economic and Financial Review, Asian Economic and Social Society, vol. 10(12), pages 1356-1365, December.
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Keywords
Conventional banks; CAPM; Fama and French model; stock returns;All these keywords.
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