Global stock markets and portfolio management /
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Imprint: | Basingstoke [England] ; New York : Palgrave Macmillan, 2006. |
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Description: | xiii, 123 p. : ill. ; 23 cm. |
Language: | English |
Series: | Centre for the Study of Emerging Markets series |
Subject: | |
Format: | Print Book |
URL for this record: | http://pi.lib.uchicago.edu/1001/cat/bib/6004386 |
Table of Contents:
- List of Figures and Tables
- Preface
- Acknowledgements
- Notes on the Contributors
- 1. Introduction
- 2. The Dynamics of Emerging Markets Hedge Funds Exposures during the Asian Currency Crisis of 1997
- 3. The Adjustments of Stock Prices to Information on Inflation: Evidence from MENA Countries
- 4. Portfolio Management and Financial Market Integration of Emerging MENA Stock Markets
- 5. Oil Price Shocks and Emerging Stock Markets: A Generalized VAR Approach
- 6. Reactions to Regulatory Changes and Policy Adjustments in an Emerging Stock Market: China
- 7. Technical Trading Strategies and Market Efficiency
- Index