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Davinder Malhotra and Srinivas Nippani
This study investigates the risk-adjusted performance of energy equity mutual funds across a 23-year period, employing the Cumulative Wealth Index (CWI) to gauge their long-term performance relative to benchmark indices. Despite inherent volatility due t...
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Abdellilah Nafia, Abdellah Yousfi and Abdellah Echaoui
In recent years, a great deal of attention has been devoted to the use of neural networks in portfolio management, particularly in the prediction of stock prices. Building a more profitable portfolio with less risk has always been a challenging task. In ...
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Maaz Khan, Mrestyal Khan, Umar Nawaz Kayani, Khurrum Shahzad Mughal and Roohi Mumtaz
This study investigates the returns spillovers across the equity markets of Asian emerging economies (China, India, Indonesia, Malaysia, Pakistan, Philippines, South Korea, Taiwan, and Thailand). To achieve this objective, we used two different spillover...
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Xishihui Du, Maohua Liu and Siqi Luo
It is essential to understand the spatial equity of healthcare services to achieve the Sustainable Development Goals. Spatial and non-spatial factors affect access to healthcare, resulting in inequality in the hierarchical medical treatment system. Thus,...
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Benjamin Mudiangombe Mudiangombe and John Weirstrass Muteba Mwamba
This paper examines the effects of the Standard and Poor?s 500 (SP500) stock index crash during the global financial crisis and the COVID-19 pandemic periods on the South African top sector indices (basic materials, consumer goods, consumer services, fin...
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Tarek Eldomiaty, Marina Apaydin, Mona Yusuf and Mohamed Rashwan
Purpose: This paper examines the interrelatedness between countries? stock market development and competitiveness and the equity risk premium (hereinafter, ERP). In addition, this paper examines the length of time that stock market development takes to h...
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Tigezaw Lamesgin Addis, Belay Simane Birhanu and Tesfaye Zeleke Italemahu
Addis Ababa is one of the eleven cities in Africa that have been taking bold action in meeting the objectives of the Paris Agreement. At the present time, the city is working toward reducing greenhouse gas emissions and enabling the city to be resilient ...
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Soeharjoto Soekapdjo,(Universitas TrisaktiIndonesia)
Pág. 122 - 133
Aims of this study is to know about Islamic Social Reporting determination at manufacturing industry sector listed on Indonesia Sharia Stock Index, with the exchange rate and inflation as moderating variables. Panel data regression is used as a met...
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Akhsanul Khaq,Dermawan Syahrial,Wilhelmus Hary Susilo
Pág. 143 - 147
In an emerging market, the firm value has become an important variable for raise capital and sustainable- performance within the national economic development that conducted within Indonesian as the most economically- charged. The purpose of this study i...
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Budi Dharma,Dara Citra Pratiwi
Pág. 12 - 20
Abstract ? Project funding risks can arise from sources of funds, which mostly come from equity and bonds. In addition, the impact is in the form of cost overruns and delays in project completion. Identification of the risk probability that may occu...
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