Risk Modeling and a study of CAPM for major Indian companies

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Risk and Return are topics which stimulated the imagination of academicians for decades.After the development of portfolio theory,once risk diversification is accompalished,the concept of the market risk and betas have enabled the academic community to estimate the parameters of risk and return.In this context the authors have applied the CAPM study for India .The study covers five companies listed on the National Stock Exchange of India (NSE). These companies are the State Bank of India, Tata Motors, and Reliance group of Companies, Infosystch and HFDC bank.Monthly data for 2005 to 2009 period are collected and analyszed .After giving an excellent theoretical exposition of the CAPM theory,the authors estimate econometrically the risk and return paramters.Finally, the authors contribute to the ongoing discussion on why the equity risk premiums have been recently higher than the historical averages.

Autorentext

Prof.M.Thomas Paul is at present,Professor at the school of Accounting & Finance,University of South Pacific,Fiji.Former Prof. and Head at the department of Banking & Finance,European University Of Lefke,Former Prof.at National Institute Of Bank Management-India,Madras school of economics-India and Univeristy of Botswana.Earned Ph.D from Gujarat.

Weitere Informationen

  • Allgemeine Informationen
    • GTIN 09783659175060
    • Auflage Aufl.
    • Sprache Englisch
    • Größe H220mm x B150mm x T10mm
    • Jahr 2012
    • EAN 9783659175060
    • Format Kartonierter Einband
    • ISBN 3659175064
    • Veröffentlichung 05.07.2012
    • Titel Risk Modeling and a study of CAPM for major Indian companies
    • Autor Muthucattu Thomas Paul , Fosuhene Akua Asarebea
    • Untertitel An Empirical Study On Stock Returns
    • Gewicht 256g
    • Herausgeber LAP LAMBERT Academic Publishing
    • Anzahl Seiten 160
    • Genre Wirtschaft

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