This paper analyzes the relationship between market confidence and stock return.In addition, it also aims to analyze the relationship between company’s confidence and stock return. Based on principal component analysis (factor analysis), a confidence index will be developed for the Kuala Lumpur stock exchange with data from 2000 to 2010. The sample consisted of companies listed on Kuala Lumpur stock exchange which will be grouped into quartiles, each representing a portfolio.Next, the average return of each portfolio for every quarter is going to be calculated.Finally, the results will indicate a significant and negative or positive relationship between the market as well as company’s confidence index and the stock return
The objective of this work is to offer an alternative theoretical perspective and modelling of local...
Abstract: Purpose: In a first of its kind, this paper tries to explore the relationship between inve...
Investor sentiment, which reflects beliefs about future cash flows and investment risk, is an impor...
Employing data from Australia, Hong Kong, and Japan over the period between January 2004 to December...
Motivation of this study is to examine the relationship between investor sentiment and stock market ...
This paper examined the effects of both macro-economic and investor sentiment on the volatility of t...
This research examines the impact of business confidence and consumer confidence on stock market ret...
In this chapter, the authors investigate the relationship between investor sentiment and stock retur...
The present study covers all non-financial companies listed in Karachi Stock Exchange over the perio...
Stock market return was used as a leading indicator that measures the strength of the economy. The p...
This paper studied whether investor sentiment predicts individual stock returns in the Philippines, ...
This study investigates investor confidence and the macroeconomic factors contributing to the Stock ...
It is believed that investor sentiment is correlated to stock market returns, making consistent posi...
This study focuses on the impact of market sentiment on firmlevel equity returns in Malaysia by hypo...
Investor sentiment is a hot topic in behavioral finance. How to measure investor sentiment? Is the i...
The objective of this work is to offer an alternative theoretical perspective and modelling of local...
Abstract: Purpose: In a first of its kind, this paper tries to explore the relationship between inve...
Investor sentiment, which reflects beliefs about future cash flows and investment risk, is an impor...
Employing data from Australia, Hong Kong, and Japan over the period between January 2004 to December...
Motivation of this study is to examine the relationship between investor sentiment and stock market ...
This paper examined the effects of both macro-economic and investor sentiment on the volatility of t...
This research examines the impact of business confidence and consumer confidence on stock market ret...
In this chapter, the authors investigate the relationship between investor sentiment and stock retur...
The present study covers all non-financial companies listed in Karachi Stock Exchange over the perio...
Stock market return was used as a leading indicator that measures the strength of the economy. The p...
This paper studied whether investor sentiment predicts individual stock returns in the Philippines, ...
This study investigates investor confidence and the macroeconomic factors contributing to the Stock ...
It is believed that investor sentiment is correlated to stock market returns, making consistent posi...
This study focuses on the impact of market sentiment on firmlevel equity returns in Malaysia by hypo...
Investor sentiment is a hot topic in behavioral finance. How to measure investor sentiment? Is the i...
The objective of this work is to offer an alternative theoretical perspective and modelling of local...
Abstract: Purpose: In a first of its kind, this paper tries to explore the relationship between inve...
Investor sentiment, which reflects beliefs about future cash flows and investment risk, is an impor...