Abstract enCanonical correlation analysis is a multivariate statistical technique, provided that each data set does not contain fewer than two variables, examines the relationship between two sets of data. In this study, the relationship between stock exchange performance ratio of deposit banks traded in Istanbul Stock Exchange (ISE) in 2011 and financial ratios obtained from their balance sheets were examined by canonical correlation analysis. The obtained results show that particularly net income(loss)/total assets and market value/book value ratios should be examined to invest in bank stock certificates
Alan : Sosyal, Beşeri ve İdari Bilimler
Dergi Türü : Ulusal
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