This study examines the pattern of asset allocation and the performance of unit trust in Malaysia over the post crisis period by using risk-adjusted performance measures and multi-factor model from the year 2000 to 2004. Evidence from the statistics suggests that an active asset allocation strategy had been observed among Malaysian fund managers during the post Asian financial crisis. It is also suggested that investment allocation in equity remained a dominant vehicle for investment and asset allocation. Findings from multifactor model suggest that all funds of different objectives registered positive alphas except for income funds, with growth funds being among the top. While balanced funds registered highest diversification effectively, ...
This paper seeks to focus on examining the unit trust funds in Malaysia which are equity-based Publi...
This study measured the efficiency of fixed income unit trust funds and equity unit trust funds for ...
The Singapore government’s recent strategic plan to develop the financial sector has placed much emp...
This study examines the pattern of asset allocation and the performance of unit trust in Malaysia ov...
This study examines the pattern of asset allocation and the performance of unit trust in Malaysia ov...
By focusing on the Malaysian Islamic unit trusts over the period of January 2000 to December 2009, t...
By focusing on the Malaysian Islamic unit trusts over the period of January 2000 to December 2009, t...
Malaysian unit trust industry has been growing tremendously since its introduction through Amanah Sa...
In the Malaysian unit trust funds (UTFs) industry, the performance of funds is often below the marke...
By focusing on the Malaysian Islamic unit trusts over the period of January 2000 to December 2009, ...
This paper reports the comparison of performance between Islamic and conventional unit trust funds i...
Mutual fund is an investment tool that helps investor to increase their wealth while spreading their...
This study measured the efficiency of fixed income unit trust funds and equity unit trust funds for ...
This study examines the performance of fixed income and equity unit trust funds from 2006 to 2012. A...
The purpose of this study is to examine the relationship between the NAV of the Islamic equity unit ...
This paper seeks to focus on examining the unit trust funds in Malaysia which are equity-based Publi...
This study measured the efficiency of fixed income unit trust funds and equity unit trust funds for ...
The Singapore government’s recent strategic plan to develop the financial sector has placed much emp...
This study examines the pattern of asset allocation and the performance of unit trust in Malaysia ov...
This study examines the pattern of asset allocation and the performance of unit trust in Malaysia ov...
By focusing on the Malaysian Islamic unit trusts over the period of January 2000 to December 2009, t...
By focusing on the Malaysian Islamic unit trusts over the period of January 2000 to December 2009, t...
Malaysian unit trust industry has been growing tremendously since its introduction through Amanah Sa...
In the Malaysian unit trust funds (UTFs) industry, the performance of funds is often below the marke...
By focusing on the Malaysian Islamic unit trusts over the period of January 2000 to December 2009, ...
This paper reports the comparison of performance between Islamic and conventional unit trust funds i...
Mutual fund is an investment tool that helps investor to increase their wealth while spreading their...
This study measured the efficiency of fixed income unit trust funds and equity unit trust funds for ...
This study examines the performance of fixed income and equity unit trust funds from 2006 to 2012. A...
The purpose of this study is to examine the relationship between the NAV of the Islamic equity unit ...
This paper seeks to focus on examining the unit trust funds in Malaysia which are equity-based Publi...
This study measured the efficiency of fixed income unit trust funds and equity unit trust funds for ...
The Singapore government’s recent strategic plan to develop the financial sector has placed much emp...