EFFECT OF BRAND VALUE ANNOUNCEMENTS ON STOCK RETURNS: EMPIRICAL EVIDENCE FROM TURKEY

被引:9
作者
Basgoze, Pinar [1 ]
Yildiz, Yilmaz [1 ]
Metin Camgoz, Selin [1 ]
机构
[1] Hacettepe Univ, Dept Business Adm, Fac Econ & Adm Sci, TR-06532 Ankara, Turkey
关键词
brand value; brand value announcement; stock returns; event study analysis; emerging markets; Turkey; SHAREHOLDER VALUE; PERFORMANCE; EQUITY; NEXUS;
D O I
10.3846/16111699.2016.1153517
中图分类号
F [经济];
学科分类号
02 ;
摘要
This study examines the effects of brand value announcements on stock returns of Turkish firms by using the event study methodology and long-term risk adjusted portfolio returns. We examined the stock-price impacts of 299 brand value announcements on the stock market performance of the firms within the years of 2010-2014 by using BrandFinance Turkey's 100 ranking list as a data source. The findings indicate that the companies listed in the Turkey Top 100 Brands list earn positive abnormal returns 7 months after the announcement. Similarly, the companies which had greater brand values relative to the previous year, experienced significant positive abnormal returns in the 7-months period. Additional findings suggest that investors are able to beat the market in the long run regarding risk-adjusted returns by consistently investing in the Top Brands. Overall, the study demonstrates new evidence to the marketing-finance interface by focusing on the Turkish case as an important emerging market.
引用
收藏
页码:1252 / 1269
页数:18
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