Emerging Markets

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Accounting and Auditing Aspects of Corporate Governance
advanced emerging market investment research
Asset Class
Average Cumulative Abnormal Return
BDS Test
Category=KF
Category=PBW
cients
coeffi
Corporate Governance
Cumulative Abnormal Return
diff
Dummy Variable
Economic Reform
ect
eff
emerge
emerging markets
Emerging Stock Markets
eq_bestseller
eq_business-finance-law
eq_isMigrated=1
eq_isMigrated=2
eq_nobargain
eq_non-fiction
equity valuation methods
Er Ica
erent
Excess Return
Fama French Factors
Fi Nancial Distress
financial market efficiency
GARCH Model
Government Corruption and Transactional Impediments
institutional investment strategies
macroeconomic volatility modeling
MENA Country
MENA Market
MENA Region
Momentum Strategy
nance
nancial
Nonlinear Synthesis Approach
OLS Regression
Overreaction Hypothesis
PFP
Po Ra
portfolio risk analysis
Risk Premium Shocks
rms
Single Country Fund
Statistically Signifi Ca Nt
Te Ch
venture capital markets

Product details

  • ISBN 9781138117983
  • Weight: 1610g
  • Dimensions: 156 x 234mm
  • Publication Date: 07 Jun 2017
  • Publisher: Taylor & Francis Ltd
  • Publication City/Country: GB
  • Product Form: Paperback
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Although emerging market economies consist of 50% of the global population, they are relatively unknown. Filling this knowledge gap, Emerging Markets: Performance, Analysis and Innovation compiles the latest research by noteworthy academics and money managers from around the world. With a focus on both traditional emerging markets and new areas, such as the Balkan, Middle East, and North African regions, it looks at how these markets can serve as drivers of portfolios and a significant force over the long term.

This noteworthy collection sheds some light on what lies ahead for emerging markets with the most up-to-date research from academics and practitioners. It covers general issues in emerging markets and provides in-depth studies of regional markets experiencing transition, including the European Union, Latin America, and the Middle East. The book also explores Asian and Indian markets as well as financial instruments, such as bonds and funds, relative to these markets. It concludes with chapters on regulations, corporate governance, and corruption.

Greg N. Gregoriou is Professor of Finance in the School of Business and Economics at the State University of New York, Plattsburgh.