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Risk and Return in Asian Emerging Markets
Details
Risk and Return in Asian Emerging Markets offers readers a firm insight into the risk and return characteristics of leading Asian emerging market participants by comparing and contrasting behavioral model variables with predictive forecasting methods.
Autorentext
Nusret Cakici is Professor of Finance at Fordham University, USA. He has published more than 30 articles in finance journals, including the Journal of Finance, Journal of Financial and Quantitative Analysis, and Journal of Empirical Finance. His research addresses issues in derivatives, corporate finance, international finance, risk management, and investments. He is conducting research on investment strategies, cross-section of expected returns, and value at risk.
Kudret Topyan is Professor of Economics and Finance at Manhattan College School of Business, USA. He has published economics and finance articles in many professional journals including Oxford Bulletin of Economics and Statistics, Journal of Computational Finance, and Emerging Markets Finance and Trade. His recent research focuses on equity valuation in emerging markets. Topyan is a co-recipient of the prestigious 2011 Hong Kong Capital Markets Research Award and is also an active trainer in the community banking industry.
Inhalt
- Introduction 2. Market Capitalization 3. Price Level 4. Beta 5. Total Volatility 6. Idiosyncratic Volatility 7. Short-Term Reversal 8. Momentum 9. Book-to-Market Ratio 10. Multiple Regressions Appendix
Weitere Informationen
- Allgemeine Informationen
- GTIN 09781137360885
- Lesemotiv Verstehen
- Genre Economics
- Auflage 2014
- Sprache Englisch
- Anzahl Seiten 212
- Herausgeber Palgrave Macmillan
- Größe H216mm x B140mm
- Jahr 2014
- EAN 9781137360885
- Format Fester Einband
- ISBN 978-1-137-36088-5
- Veröffentlichung 13.08.2014
- Titel Risk and Return in Asian Emerging Markets
- Autor N. Cakici , K. Topyan
- Untertitel A Practitioners Guide
- Gewicht 3845g