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Bi-directional relationship between capital structure and financial performance of firms listed on the Nairobi Securities Exchange

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dc.contributor.author Otieno, Odhiambo Luther
dc.contributor.author Ngwenya, Sam
dc.date.accessioned 2016-12-19T11:03:28Z
dc.date.available 2016-12-19T11:03:28Z
dc.date.issued 2015
dc.identifier.citation Otieno, O. L. and Ngwenya, S. 2015. Bi-directional relationship between capital structure and financial performance of firms listed on the Nairobi Securities Exchange. Corporate Ownership & Performance, 12(4): 103-116 en
dc.identifier.issn 1810-3057
dc.identifier.uri http://hdl.handle.net/10500/21868
dc.description.abstract Capital structure decisions are common across firms, yet capital structure theories lack a consensus on how much of debt capital firms should use to finance their operations. The main objective of this study was to investigate the bi-directional relationship between capital structure and financial performance of firms listed on the NSE. The study used canonical correlation technique to determine the bi-directional relationship between capital structure and performance. The result revealed that dominant capital structure indicator to be used in an analysis to predict performance is the total debt to the total asset ratio. In the case of performance, the two variables that relate to capital structure are book value to market value ratio and asset turnover ratio. The results support the conclusion that a bidirectional relationship exists between capital structure and debt capital. en
dc.language.iso en en
dc.publisher Virtus Interpress en
dc.subject Capital Structure, Financial Performance, Canonical Technique, NSE en
dc.title Bi-directional relationship between capital structure and financial performance of firms listed on the Nairobi Securities Exchange en
dc.type Article en
dc.description.department Finance, Risk Management and Banking en


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