A Comparative Analysis Of Socially Responsible Investing For Borsa Istanbul Stock Market

Nalan Ece
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Abstract

The purpose of this study is to examine the stock market performance and accounting performance of Participation 30 Index (KATLM), Corporate Governance Index (XKURY) and Sustainability Index (XUSRD), all of which are calculated by Borsa Istanbul (BIST) stock market. The companies in these indexes are approved as companies making socially-responsible investments. Design/methodology/approach – The risk-adjusted performance measures, Sharpe Ratio, Treynor Measure, Jensen Measure, Information Ratio, M 2 Performance Measure and  T 2 Performance Measure were used in this article to calculate the stock market performance. The return on assets (ROA) and return on equity (ROE) were used as accounting based performance measures. The results show that there is a positive relation between social responsibility and financial performance for companies in BIST. Research limitations/implications - BIST Sustainability Index has started to be computed as of November 2014, and it is one of the limitations of this study. Practical implications – First, t he shortage of investment alternatives of companies covered within the context ethical finance is not a disadvantage for them. Second, Islamic Finance, which can be investigated within the context of ethical finance, has become popular in recent years in Turkey. KATLM Index, which is consisted of stocks of the companies operating compatible with the principles of participation banking, is an alternative for risk averse investors. Originality/value - Turkish stock market is an emerging financial market. The findings of this study has implications for local and international investors for designing trading strategies, drawing investment decisions and risk management.
Borsa伊斯坦布尔证券市场社会责任投资比较分析
本研究的目的是检验参与30指数(KATLM)、公司治理指数(XKURY)和可持续发展指数(XUSRD)的股票市场表现和会计绩效,这些指数都是由伊斯坦布尔证券交易所(BIST)股票市场计算得出的。这些指数中的公司被认可为社会责任投资公司。设计/方法/方法-本文使用风险调整后的绩效指标、夏普比率、特雷纳度量、詹森度量、信息比率、m2绩效度量和t2绩效度量来计算股票市场绩效。资产收益率(ROA)和净资产收益率(ROE)被用作基于会计的绩效指标。结果表明:北京科技大学企业社会责任与财务绩效之间存在正相关关系。研究局限/启示- BIST可持续性指数于2014年11月开始计算,这是本研究的局限性之一。实际意义-首先,在伦理金融的背景下,公司缺乏投资选择对他们来说并不是一个劣势。其次,伊斯兰金融可以在伦理金融的背景下进行调查,近年来在土耳其流行起来。KATLM指数是由符合参与银行原则的公司的股票组成的,是厌恶风险的投资者的替代选择。原创性/价值——土耳其股市是一个新兴的金融市场。本研究结果对本地及国际投资者设计交易策略、作出投资决策及进行风险管理具有启示意义。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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