Cakici, Nusret
Risk and Return in Asian Emerging Markets
1. Introduction
Nusret Cakici, Kudret Topyan
2. Market Capitalization
Nusret Cakici, Kudret Topyan
3. Price Level
Nusret Cakici, Kudret Topyan
4. Beta
Nusret Cakici, Kudret Topyan
5. Total Volatility
Nusret Cakici, Kudret Topyan
6. Idiosyncratic Volatility
Nusret Cakici, Kudret Topyan
7. Short-Term Reversal
Nusret Cakici, Kudret Topyan
8. Momentum
Nusret Cakici, Kudret Topyan
9. Book-to-Market Ratio
Nusret Cakici, Kudret Topyan
10. Multiple Regressions
Nusret Cakici, Kudret Topyan
Avainsanat: Economics, Development Economics, Econometrics, Finance, general, Business Finance, Accounting/Auditing, Risk Management
- Tekijä(t)
- Cakici, Nusret
- Topyan, Kudret
- Julkaisija
- Springer
- Julkaisuvuosi
- 2014
- Kieli
- en
- Painos
- 1
- Sivumäärä
- 221 sivua
- Kategoria
- Talous
- Tiedostomuoto
- E-kirja
- eISBN (PDF)
- 9781137359070
- Painetun ISBN
- 978-1-349-47206-2