Analysis of The Korean Stock Market:Behavioral Finance Approaches

韩国股票市场分析:行为金融学方法

货币银行学

原   价:
1140.00
售   价:
855.00
发货周期:预计3-5周发货
作      者
出  版 社
出版时间
2018年06月04日
装      帧
精装
ISBN
9789813236752
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页      码
220
语      种
英文
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图书简介
The Korean stock market, ranked 11th in the world in terms of market capitalization of stocks in 2017, is a globalized market. Foreign investors hold close to one-third of stocks listed on the Korea Exchange (KRX) as of May 2017 (in terms of market capitalization). The US and the UK alone account for almost 50% of foreign ownership in the KRX. Research or information on the Korean stock market, however, is not well known to the domestic or the global investment communities. There are minimal investment studies that deal with practical issues from the perspective of investment analysts. This volume bridges the academic and investment communities by providing analyses of the Korean stock market that contain practical values. This book comprehensively analyzes anomalies in the Korean stock market, including time series anomalies such as the January effect, cross-sectional anomalies such as the size effect and book-to-market effect, and anomalies related to corporate events. The authors also investigate sales revenue, profitability, valuation (M/B ratio), and the financial risk of listed companies in the Korean stock market at both the sectoral level and industrial level. As the study uses a comprehensive data set and long-term sample period, readers can benefit from consistent and comparable empirical results.
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