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The Macroeconomic Variables and Stock Returns

The Macroeconomic Variables and Stock Returns is een boek van Nadeem Sohail;

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Performance of Stock Market Driven Acquisitions

Do managers time the stock market in making takeovers? This dissertation examines the theory of stock market driven acquisitions;

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The Persistence of Seasonality

Investors and academics have long been intrigued by seasonality effects on stock returns. In this research it was tested whether any;

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Political Risk and Stock Market Volatility

Research on political risk tends to elucidate that political news affects nancial markets. Especially stock markets respond to new;

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Stock Message Boards

Stock Message Boards provides empirical data to reveal how online communication not only impacts stock returns, but also volatility;

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Understanding the Oil price-Stock market return nexus

Recent spikes in oil prices have thrown light on how stock market may be impacted by oil price shocks. The task in this book is to try to;

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Employee Stock Options, Payout Policy, and Stock Returns

The book investigates empirically mechanisms behind the recent widespread use of employee stock options and share repurchases in corporate;

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Preferred Stock Investing

"Preferred Stock Investing" teaches non-experts a simple method of investing in investment grade preferred stocks for annual returns that;

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Momentum Effect or Defect on the Bulgarian Stock Exchange

relative strength or momentum strategies. The sample data is based on the monthly stock prices of all 378 shares traded on the Bulgarian Stock;

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Trade Like a Stock Market Wizard

Minervini has run circles around most PhDs tryingto design systems to beat the market. -- JACK SCHWAGER, bestselling author of Stock;

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Mastering Stocks & Bonds

Despite popular belief, bond and stock investors are not opposites. Stock investors can apply bond strategies to safeguard returns. And;

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Value Stocks Beat Growth Stocks

Based on a 'free of survivorship-bias' sample of German stocks listed at the Frankfurt stock exchange, the study investigates the ability;

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The Effect of Weather on Stock Returns

stock market returns. The extensive literature on the weather effect fails to converge towards a unique, systematic and robust relationship;

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Short Selling for the Long Term

Find a method to evaluate stocks- and build a record of impressive returns Short Selling for the Long Term describes the methods used;

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Stock Cycles

to investing. Many of us are relying on the stock market to provide for us in our retirement yet at the same time, most of us are afraid;

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Microsoft Money X Fast and Easy

Explains how to use the money management program to track finances, pay bills online, download stock quotes, set budgets, and prepare;

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The Impact of Rating Actions on Stock Prices in the Italian Market

The goal of this thesis is to provide empirical insight into the impact of rating agencies' announcements on stock prices in the Italian;

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From Main Street to Wall Street

Street examines both the long-run relation between economic growth and stock returns and the shorter-term business-cycle relation. It examines;

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Stocks for the Long Run

and guidance to an investment world turned upside down. Stocks for the Long Run combines a compelling and timely portrait of today's turbulent;

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Preparing For The Worst

Stock market investors have very different reactions to downside versus upside risk. This book begins by explaining the current treatment;

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Asset Pricing in Indian Stock Market

of average stock returns compared to the more widely accepted capital asset pricing model (CAPM). It is suggested that the market practitioners;

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Empirical Asset Pricing Models

dichotomy between the nondiversifiable pricing kernels and the individual components of stock returns when empirical asset pricing models are;

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Empirical Asset Pricing Models

dichotomy between the nondiversifiable pricing kernels and the individual components of stock returns when empirical asset pricing models are;

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Nonlinear Financial Econometrics

evidence and solutions to capture the persistence observed in stock returns across developed and emerging markets.;

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Nonlinear Financial Econometrics

evidence and solutions to capture the persistence observed in stock returns across developed and emerging markets.;

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