Global Stock Markets and Portfolio Management
Book Details
Format
Hardback or Cased Book
Book Series
Centre for the Study of Emerging Markets Series
ISBN-10
1403991553
ISBN-13
9781403991553
Publisher
Palgrave USA
Imprint
Palgrave Macmillan
Country of Manufacture
GB
Country of Publication
GB
Publication Date
Apr 12th, 2006
Print length
123 Pages
Product Classification:
Investment and securitiesStocks & shares
Ksh 18,000.00
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This book presents the latest empirical findings on stock markets in a number of emerging markets. The authors employ the latest techniques and provide valuable insights into each market, highlighting global integration, their potential for profitable investments and features that will be influential in global portfolio decision-making.
List of Figures and Tables Preface Acknowledgements Notes on the Contributors Introduction; S.Motamen-Samadian The Dynamics of Emerging Markets Hedge Funds Exposures during the Asian Currency Crisis of 1997; G.Monarcha The Adjustments of Stock Prices to Information on Inflation: Evidence from MENA Countries; S.A.M.Al-Rjoub Portfolio Management and Financial Market Integration of Emerging MENA Stock Markets; S.Neaime Oil Price Shocks and Emerging Stock Markets: A Generalized VAR Approach; A.Maghyereh Reactions to Regulatory Changes and Policy Adjustments in an Emerging Stock Market: China; J.Kong & D.Lu Technical Trading Strategies and Market Efficiency; R.Slepaczuk Index
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