The Chinese stock market has been established for more than 20 years. Although it is not as mature as the highly developed western securities markets, it has a huge influence on the global economy. It is significant to study the risks of the Chinese stock market, especially the risk of stock indexes. Affected by the economic globalization today, more and more financial derivatives and financial instruments appear which may lead to the increase of related risk so that the demand of research on the risk of the financial market is also getting higher and higher. Risk measurement is a key in risk management, and its measurement methods are constantly evolving. Value at Risk (VaR) method is one of the effective methods to measure the financial r...
Recent deregulation tide has greatly changed the landscape of global banking industry. The idea of “...
Thesis (M. Com. (Economic Science))--University of the Witwatersrand, Faculty of Commerce, Law and M...
Based on social-political theories, this study identifies the factors which would affect the level o...
This master's thesis deals with Value-at-Risk for equity portfolios. The distribution of daily retur...
JEL classification: G01, G21, G24, G28, G32, G33The assessment of risk is an important and complex t...
This thesis addresses some practical issues that are similar to what a risk manager would be facing....
The objective of this study is the development of a capital-budgeting model that explicitly consider...
In this paper, I examine the use of Risk Parity for enhancing performance in the portfolioconstitute...
Value at Risk (VaR) tornou-se uma das mais populares técnicas de medição e controlo de risco, nomead...
Masteroppgave i økonomi og administrasjon - Universitetet i Agder 2013The measuring of risk has beco...
abstract: A systematic top down approach to minimize risk and maximize the profits of an investment ...
In the first chapter, we analyze the role of market development, risk premium, and transparency as f...
There has been an on-going debate about choices of the most suitable model amongst a variety of mode...
This paper mainly focuses on the correlation between live hedge fund return and their value at risk ...
The Chinese stock market has unique features that make it a challenging and interesting research top...
Recent deregulation tide has greatly changed the landscape of global banking industry. The idea of “...
Thesis (M. Com. (Economic Science))--University of the Witwatersrand, Faculty of Commerce, Law and M...
Based on social-political theories, this study identifies the factors which would affect the level o...
This master's thesis deals with Value-at-Risk for equity portfolios. The distribution of daily retur...
JEL classification: G01, G21, G24, G28, G32, G33The assessment of risk is an important and complex t...
This thesis addresses some practical issues that are similar to what a risk manager would be facing....
The objective of this study is the development of a capital-budgeting model that explicitly consider...
In this paper, I examine the use of Risk Parity for enhancing performance in the portfolioconstitute...
Value at Risk (VaR) tornou-se uma das mais populares técnicas de medição e controlo de risco, nomead...
Masteroppgave i økonomi og administrasjon - Universitetet i Agder 2013The measuring of risk has beco...
abstract: A systematic top down approach to minimize risk and maximize the profits of an investment ...
In the first chapter, we analyze the role of market development, risk premium, and transparency as f...
There has been an on-going debate about choices of the most suitable model amongst a variety of mode...
This paper mainly focuses on the correlation between live hedge fund return and their value at risk ...
The Chinese stock market has unique features that make it a challenging and interesting research top...
Recent deregulation tide has greatly changed the landscape of global banking industry. The idea of “...
Thesis (M. Com. (Economic Science))--University of the Witwatersrand, Faculty of Commerce, Law and M...
Based on social-political theories, this study identifies the factors which would affect the level o...