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contents lists available at growingscience management science
Management Science Letters 2 (2012) 1455–1464
Contents lists available at GrowingScience
Management Science Letters
homepage: www.GrowingS/msl
A study of the effects of company size on systematic risk based on the capital asset pricing
model among accepted companies in Tehran Stock Market
Payman Akbaria*, Reza Rostamib and Akbar Veismoradic
a Master of Commercial Management, Young Researchers Club, Kermanshah Branch, Islamic Azad University, Kermanshah, Iran
b Department of Management, Payam Noor University Harsin, Kermanshah, Iran
c Department of Management, Payam Noor University Harsin, Kermanshah, Iran
A R T I C L E I N F O A B S T R A C T
Article history : Systematic risk (beta) is one of the most effective factors in predicting the appropriate required
Received December 18, 2011 rate of return of portfolios. Understanding systematic risk of usual portfolio of various
Received in Revised form companies helps investors consider financial investment, more confidentially. The aim of this
February, 20, 2011
study is to determine if there is any significant relationship between Company Size (Market
Accepted 28 March 2012
Available online value of stocks, Book value of stocks, level of company sale, trade volume of stocks, Price
April 3 2012 dividend ratio) as independent variables and Systematic risk (Beta) as dependent variables. The
Keywords : study chooses 112 companies accept
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