Comparison study of different value at risk models and their effectiveness on the Malaysian palm oil futures (FCPO) market
Market risk is an important element of derivatives trading and can cause derivatives market participants to suffer substantial amount of loss if not managed properly. Value at Risk (VaR) is a tool that has been used to manage market risk particularly in the developed markets. This research tries to...
| المؤلف الرئيسي: | Thirunavukkarasu, L K. Suppiah |
|---|---|
| التنسيق: | أطروحة |
| اللغة: | الإنجليزية الإنجليزية |
| منشور في: |
2015
|
| الموضوعات: | |
| الوصول للمادة أونلاين: | https://etd.uum.edu.my/5053/1/s812942.pdf https://etd.uum.edu.my/5053/2/s812942_abstract.pdf |
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مواد مشابهة
-
The effectiveness of hedging between Crude Palm Kernel Oil (CPKO) spot price and Futures Crude Palm Oil Contract (FCPO) in Malaysia
حسب: Tham, Poh Seng
منشور في: (2024) -
Selected seasonality effect in crude palm oil futures contract quoted on bursa Malaysia derivatives
حسب: Zaharudin, Haziratul Qudsiah
منشور في: (2022) -
The determinants of credit risk in an emerging market
حسب: Ng, Yen Theng
منشور في: (2014) -
Relationship between risk and return in Sukuk market
حسب: Rauf, Ahamed Lebbe Abdul
منشور في: (2015) -
The Impact of Dividend Payout Ratio on Future Earnings Growth: Evidence from Malaysia
حسب: Khairul Zharif, Zaharudin
منشور في: (2010)