|
![]() |
|||
|
||||
OverviewAsian emerging markets are becoming increasingly important in the new world order following the 2008 financial crisis. Risk and Return in Asian Emerging Markets uses popular portfolio methods and cross-sectional regressions to report the risk and return characteristics of Asian market participants. Topyan and Cakici help researchers understand the relative importance of certain criteria in forecasting and determining trading strategies for these countries. This is the first book in the field to evaluate, compare, and contrast behavioral model variables with predictive powers for Asian emerging markets. Academicians and practitioners will find this book relevant to develop a firm grasp of the structure behind Asian emerging markets and implement trading strategies. Full Product DetailsAuthor: Nusret Cakici , Kudret TopyanPublisher: Palgrave MacMillan Imprint: Palgrave MacMillan ISBN: 9781322108117ISBN 10: 1322108110 Pages: 225 Publication Date: 01 January 2014 Audience: General/trade , General Format: Electronic book text Publisher's Status: Active Availability: Available To Order ![]() We have confirmation that this item is in stock with the supplier. It will be ordered in for you and dispatched immediately. Table of ContentsReviewsAuthor InformationTab Content 6Author Website:Countries AvailableAll regions |