Risk and Return in Asian Emerging Markets

A Practitioner’s Guide

  • Authors
  • Nusret Cakici
  • Kudret Topyan

Table of contents

  1. Front Matter
    Pages i-ix
  2. Nusret Cakici, Kudret Topyan
    Pages 1-11
  3. Nusret Cakici, Kudret Topyan
    Pages 13-27
  4. Nusret Cakici, Kudret Topyan
    Pages 29-41
  5. Nusret Cakici, Kudret Topyan
    Pages 43-58
  6. Nusret Cakici, Kudret Topyan
    Pages 59-71
  7. Nusret Cakici, Kudret Topyan
    Pages 73-89
  8. Nusret Cakici, Kudret Topyan
    Pages 91-103
  9. Nusret Cakici, Kudret Topyan
    Pages 105-119
  10. Nusret Cakici, Kudret Topyan
    Pages 121-133
  11. Nusret Cakici, Kudret Topyan
    Pages 135-183
  12. Back Matter
    Pages 185-212

About this book

Introduction

Risk and Return in Asian Emerging Markets offers readers a firm insight into the risk and return characteristics of leading Asian emerging market participants by comparing and contrasting behavioral model variables with predictive forecasting methods.

Keywords

Asia emerging markets forecasting regression volatility

Bibliographic information

  • DOI https://doi.org/10.1057/9781137359070
  • Copyright Information Palgrave Macmillan, a division of Nature America Inc. 2014
  • Publisher Name Palgrave Macmillan, New York
  • eBook Packages Palgrave Economics & Finance Collection
  • Print ISBN 978-1-349-47206-2
  • Online ISBN 978-1-137-35907-0
  • About this book