Stock-Bond Correlations In Asean-5: The Roles Of Financial Integration And Financial Development

Based on Markowitz’s (1952) modern portfolio theory, studies of stock-bond correlation have gained considerable attention in academia as it explores the extent of asset diversification benefit between stock and bond markets. Existing literature has shown that the asset diversification benefit in dev...

詳細記述

書誌詳細
第一著者: Khalid, Muhammad Airil Syafiq Mohd
フォーマット: 学位論文
言語:英語
出版事項: 2020
主題:
オンライン・アクセス:http://eprints.usm.my/54723/