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Special Issue on Measuring Risk and / Or Applications Thereof

Special Issue on Measuring Risk and / Or Applications Thereof Review of Accounting and Finance - 14

Paperback (15 Jan 1920)

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Publisher's Synopsis

Within this book of a wide variety of risk considerations are analyzed. Papers in this issue evaluate the risk / return tradeoff for different style mutual funds. They analyze the linkage between economic growth and stock market development. International diversification and return differentials are considered. Asymmetric co-movements between financial markets and economies are examined. And, finally a comparison of the Carhart four-factor model and the Fama-French three factor model is applied in the South African Stock Market.

Book information

ISBN: 9781786350237
Publisher: Emerald
Imprint: Emerald Publishing
Pub date:
Language: English
Number of pages: 84
Weight: -1g