Handbook Of Applied Investment Research (Paperback)


This book introduces the readers to the rapidly growing literature and latest results on financial, fundamental and seasonal anomalies, stock selection modeling and portfolio management. Fifty years ago, finance professors taught the Efficient Markets Hypothesis which states that the average investor could not outperform the stock market based on technical, seasonal and fundamental data. Many, if not most faculty and investors, no longer share that opinion. In this book, the authors report original empirical evidence that applied investment research can produce statistically significant stock selection and excess portfolio returns in the US, and larger excess returns in international and emerging markets.

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Product Description

This book introduces the readers to the rapidly growing literature and latest results on financial, fundamental and seasonal anomalies, stock selection modeling and portfolio management. Fifty years ago, finance professors taught the Efficient Markets Hypothesis which states that the average investor could not outperform the stock market based on technical, seasonal and fundamental data. Many, if not most faculty and investors, no longer share that opinion. In this book, the authors report original empirical evidence that applied investment research can produce statistically significant stock selection and excess portfolio returns in the US, and larger excess returns in international and emerging markets.

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Product Details

General

Imprint

World Scientific Publishing Co Pte Ltd

Country of origin

Singapore

Series

World Scientific Handbook in Financial Economics Series, 9

Release date

November 2020

Availability

Expected to ship within 10 - 15 working days

Editors

,

Format

Paperback

Pages

816

ISBN-13

978-981-12-2518-5

Barcode

9789811225185

Categories

LSN

981-12-2518-4



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