Return And Correlations Of Malaysian Sector Stock Indices Under Different Market Conditions
Kajian ini ingin mengetahui potensi manfaat kepelbagaian melabur antara sektor dan indeks dalam Pasaran Malaysia. This study look at potential diversification benefits of investing between sectors and the index within Malaysian Market. In additional, this study examines returns and correlation...
| 第一著者: | |
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| フォーマット: | 学位論文 |
| 言語: | 英語 |
| 出版事項: |
2015
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| 主題: | |
| オンライン・アクセス: | http://eprints.usm.my/29997/ |
| 要約: | Kajian ini ingin mengetahui potensi manfaat kepelbagaian melabur antara
sektor dan indeks dalam Pasaran Malaysia.
This study look at potential diversification benefits of investing between sectors
and the index within Malaysian Market. In additional, this study examines returns and
correlations of seven Malaysian sector indices along with Kuala Lumpur Composite
Index (KLCI) under different market conditions from January 2008 to December 2014. |
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