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ISBN 10: 008054505X
ISBN 13: 9780080545059
Author: Cheng Few Lee
Twelve papers focus on investment analysis, portfolio theory, and their implementation in portfolio management
CHAPTER 1. ENDOGENOUS GROWTH AND STOCK RETURNS VOLATILITY IN THE LONG RUN
CHAPTER 2. A NOTE ON THE MARKOWITZ RISK MINIMIZATION AND THE SHARPE ANGLE MAXIMIZATION MODELS
CHAPTER 3. OPTIMAL HEDGE RATIOS AND TEMPORAL AGGREGATION OF COINTEGRATED SYSTEMS
CHAPTER 4. MARKET TIMING, SELECTIVITY, AND MUTUAL FUND PERFORMANCE
CHAPTER 5. SOURCES OF TIME-VARYING RISK PREMIA IN THE TERM STRUCTURE
CHAPTER 6. STOCK SPLITS AND LIQUIDITY: EVIDENCE FROM AMERICAN DEPOSITORY RECEIPTS
CHAPTER 7. PORTFOLIO SELECTION WITH ROUND-LOT HOLDINGS
CHAPTER 8. DEFINING A SECURITY MARKET LINE FOR DEBT EXPLICITLY CONSIDERING THE RISK OF DEFAULT
CHAPTER 9. SHAREHOLDER HETEROGENEITY: FURTHER EVIDENCE
CHAPTER 10. THE LONG-RUN PERFORMANCE AND PRE-SELLING INFORMATION OF INITIAL PUBLIC OFFERINGS
CHAPTER 11. THE TERM STRUCTURE OF RETURN CORRELATIONS: THE U.S. AND PACIFIC-BASIN STOCK MARKETS
CHAPTER 12. CHARACTERISTICS VERSUS COVARIANCES: AN EXAMINATION
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Tags: Cheng Few Lee, Advances, Investment, Analysis