Price-Based Investment Strategies

Price-Based Investment Strategies
Title Price-Based Investment Strategies PDF eBook
Author Adam Zaremba
Publisher Springer
Pages 325
Release 2018-07-25
Genre Business & Economics
ISBN 3319915304

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This compelling book examines the price-based revolution in investing, showing how research over recent decades has reinvented technical analysis. The authors discuss the major groups of price-based strategies, considering their theoretical motivation, individual and combined implementation, and back-tested results when applied to investment across country stock markets. Containing a comprehensive sample of performance data, taken from 24 major developed markets around the world and ranging over the last 25 years, the authors construct practical portfolios and display their performance—ensuring the book is not only academically rigorous, but practically applicable too. This is a highly useful volume that will be of relevance to researchers and students working in the field of price-based investing, as well as individual investors, fund pickers, market analysts, fund managers, pension fund consultants, hedge fund portfolio managers, endowment chief investment officers, futures traders, and family office investors.

Geopolitical Risk on Stock Returns: Evidence from Inter-Korea Geopolitics

Geopolitical Risk on Stock Returns: Evidence from Inter-Korea Geopolitics
Title Geopolitical Risk on Stock Returns: Evidence from Inter-Korea Geopolitics PDF eBook
Author Seungho Jung
Publisher International Monetary Fund
Pages 36
Release 2021-10-22
Genre Business & Economics
ISBN 1557759677

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We investigate how corporate stock returns respond to geopolitical risk in the case of South Korea, which has experienced large and unpredictable geopolitical swings that originate from North Korea. To do so, a monthly index of geopolitical risk from North Korea (the GPRNK index) is constructed using automated keyword searches in South Korean media. The GPRNK index, designed to capture both upside and downside risk, corroborates that geopolitical risk sharply increases with the occurrence of nuclear tests, missile launches, or military confrontations, and decreases significantly around the times of summit meetings or multilateral talks. Using firm-level data, we find that heightened geopolitical risk reduces stock returns, and that the reductions in stock returns are greater especially for large firms, firms with a higher share of domestic investors, and for firms with a higher ratio of fixed assets to total assets. These results suggest that international portfolio diversification and investment irreversibility are important channels through which geopolitical risk affects stock returns.

Financial Risk Tolerance: A Psychometric Review

Financial Risk Tolerance: A Psychometric Review
Title Financial Risk Tolerance: A Psychometric Review PDF eBook
Author John E. Grable
Publisher CFA Institute Research Foundation
Pages 27
Release 2017-06-30
Genre Business & Economics
ISBN 1944960201

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This content provides financial analysts, investment professionals, and financial planners with a review of how financial risk-tolerance tests can and should be evaluated. It begins by clarifying terms related to risk taking and is followed by a broad overview of two important measurement terms: validity and reliability. It concludes with examples for practice.

Stock Market Volatility

Stock Market Volatility
Title Stock Market Volatility PDF eBook
Author Greg N. Gregoriou
Publisher CRC Press
Pages 654
Release 2009-04-08
Genre Business & Economics
ISBN 1420099558

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Up-to-Date Research Sheds New Light on This Area Taking into account the ongoing worldwide financial crisis, Stock Market Volatility provides insight to better understand volatility in various stock markets. This timely volume is one of the first to draw on a range of international authorities who offer their expertise on market volatility in devel

The Econometric Analysis of Models with Risk Terms

The Econometric Analysis of Models with Risk Terms
Title The Econometric Analysis of Models with Risk Terms PDF eBook
Author A. R. Pagan
Publisher London : Centre for Decision Sciences and Econometrics, University of Western Ontario
Pages 52
Release 1986
Genre Econometric models
ISBN

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Festschrift in Honor of Peter Schmidt

Festschrift in Honor of Peter Schmidt
Title Festschrift in Honor of Peter Schmidt PDF eBook
Author Robin C. Sickles
Publisher Springer Science & Business Media
Pages 417
Release 2014-03-15
Genre Business & Economics
ISBN 1489980083

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From the Introduction: This volume is dedicated to the remarkable career of Professor Peter Schmidt and the role he has played in mentoring us, his PhD students. Peter’s accomplishments are legendary among his students and the profession. Each of the papers in this Festschrift is a research work executed by a former PhD student of Peter’s, from his days at the University of North Carolina at Chapel Hill to his time at Michigan State University. Most of the papers were presented at The Conference in Honor of Peter Schmidt, June 30 - July 2, 2011. The conference was largely attended by his former students and one current student, who traveled from as far as Europe and Asia to honor Peter. This was a conference to celebrate Peter’s contribution to our contributions. By “our contributions” we mean the research papers that make up this Festschrift and the countless other publications by his students represented and not represented in this volume. Peter’s students may have their families to thank for much that is positive in their lives. However, if we think about it, our professional lives would not be the same without the lessons and the approaches to decision making that we learned from Peter. We spent our days together at Peter’s conference and the months since reminded of these aspects of our personalities and life goals that were enhanced, fostered, and nurtured by the very singular experiences we have had as Peter’s students. We recognized in 2011 that it was unlikely we would all be together again to celebrate such a wonderful moment in ours and Peter’s lives and pledged then to take full advantage of it. We did then, and we are now in the form of this volume.

The Impact of Political Risk on the Volatility of Stock Returns : the Case of Canada

The Impact of Political Risk on the Volatility of Stock Returns : the Case of Canada
Title The Impact of Political Risk on the Volatility of Stock Returns : the Case of Canada PDF eBook
Author Cosset, Jean-Claude
Publisher Québec : Faculté des sciences de l'administration de l'Université Laval, Direction de la recherche
Pages 34
Release 2003
Genre
ISBN 9782895241652

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