Relationship Between Risk and Return Stock Index Accounting in the Banks

Document Type : Original Article

Author
Ph.D. Student of Financial Management, Imam Sadegh University
Abstract
Among the most important risk management activities through the establishment of a bank can be And efforts by many banks to improve risk management measures have been. This article is an attempt by the bank's financial information to weigh the risk management of banks and bank stocks sensitive to risk management assessment
results are based on data contained in the Tehran Stock Exchange during the period 1387 to 1390 show - which has generally improved risk management indicators. Statistical results showed that the sensitivity of stock returns to risk management
Keywords