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Prediction of shareholders' wealth A quantitative analysis

By: Contributor(s): Material type: Mixed materialsMixed materialsPublication details: 2012Description: 7-16Subject(s): NLM classification:
  • 332.632
In: ICFAI: Journal of Accounting ResearchMSummary: Shareholders' wealth has become an important concept among investors in the globalized economy. Investors who have a varity of options will be interested in evaluating the performance of corporate sector in terms of shareholders' wealth before making any investments. Shareholders' wealth is measured in terms of Economic Value Added(EVA). The Present study attempts to analyze the relationship between shareholders' wealth, i.e. EVA and different financial performance variables, on the one hand and costruct a mutiple regression model for determining shareholdes' wealth.
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Periodicals/Magazines Periodicals/Magazines SSCBS Library 11/3 Available P14467

Shareholders' wealth has become an important concept among investors in the globalized economy. Investors who have a varity of options will be interested in evaluating the performance of corporate sector in terms of shareholders' wealth before making any investments. Shareholders' wealth is measured in terms of Economic Value Added(EVA). The Present study attempts to analyze the relationship between shareholders' wealth, i.e. EVA and different financial performance variables, on the one hand and costruct a mutiple regression model for determining shareholdes' wealth.

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