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Portfolio Investment

Impact of capital market on foreign portfolio investment in Nigeria

Impact of capital market on foreign portfolio investment in Nigeria

... simple portfolio approach modified with ad hoc ...of portfolio investment, especially from countries in the North to emerging market economies across the ...North-South Portfolio ...

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Causality relations between foreign direct investment and portfolio investment volatility

Causality relations between foreign direct investment and portfolio investment volatility

... Results indicated that, for Russia and Turkey foreign direct investment has a significant cause on portfolio investment volatility. However for Czech Republic and Poland, there is no such significant ...

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Mainstreaming capital market performance and foreign portfolio  investment in Nigeria

Mainstreaming capital market performance and foreign portfolio investment in Nigeria

... foreign portfolio investment are seen to be posing so much challenges to the development of capital market in most economies including Nigeria that this phenomenon tend eliciting some contentious issues ...

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The Relationship between Foreign Portfolio Investment, Foreign Direct Investment and Economic Performance of Nigerian Economy: (1980-2017): An Empirical Analysis

The Relationship between Foreign Portfolio Investment, Foreign Direct Investment and Economic Performance of Nigerian Economy: (1980-2017): An Empirical Analysis

... Foreign Portfolio Investment refers to investment in different bundles or form of ...foreign portfolio investment (FP)I frequently derive from the belief that foreign portfolio ...

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Regulatory Cooperation and Foreign Portfolio Investment

Regulatory Cooperation and Foreign Portfolio Investment

... foreign portfolio investment is an important source of outside financing (Bekaert et ...foreign investment in many countries (Leuz et ...these investment barriers is to commit to stricter ...

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Foreign Portfolio Investment and Financial Constraints  of Small Firms

Foreign Portfolio Investment and Financial Constraints of Small Firms

... For The literature demonstration we chose ques- tionnaires as long we are oriented to analyze Georgian situation. To use quantitative analyze was quite hard because lack of information availability. Interviews and ...

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Portfolio Investment Model Using Neuro Fuzzy System

Portfolio Investment Model Using Neuro Fuzzy System

... international portfolio management using dynamic stochastic programming model to determine capital allocations to international markets and the selection of assets within each ...stock portfolio in Tehran ...

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A Simple Model of Managerial Incentives and Portfolio Investment Decision

A Simple Model of Managerial Incentives and Portfolio Investment Decision

... in IBM (an assumption for simplicity without much loss of generality). Table 1 below describes all the parameters that I use in the calibration. Parameters of mean returns and volatilities are obtained from the above ...

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International investors' home bias in portfolio equity investment

International investors' home bias in portfolio equity investment

... of portfolio investment indicate a broad correspondence between stock market capitalisation of destination countries and the allocation of Australian financial investments but with some deviations from that ...

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Where do Australians invest?

Where do Australians invest?

... conventional portfolio theory there appears to be a strong bias for Australia to invest in equity markets which are highly positively correlated with that of domestic ...overseas investment portfolio ...

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Research on Optimal Investment Portfolio of Enterprise Annuity under Investment Constraints

Research on Optimal Investment Portfolio of Enterprise Annuity under Investment Constraints

... annuity portfolio is related to the proportion of ...annuity portfolio investment rate to break through ...the investment risk at the same ...annuity investment, the constraint of ...

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INVESTMENT DIVERSIFICATION FACTORS ON PORTFOLIO DECISIONS WITH REFERENCE TO RRT INDUCEMENT

INVESTMENT DIVERSIFICATION FACTORS ON PORTFOLIO DECISIONS WITH REFERENCE TO RRT INDUCEMENT

... effective investment decision making of different ...possible investment schemes such as bank deposit, investment in equities, insurance schemes, investment in real estate, gold ...

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Capital Heterogeneity, Entrepreneurship, and Two-way Capital Flows

Capital Heterogeneity, Entrepreneurship, and Two-way Capital Flows

... of Portfolio Investment and Direct Investment across borders demonstrate opposite ...domestic investment opportunities forgone, resulting in lower investment, lower interest rate, and ...

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Reversibility of Different Types of Capital Flows to Emerging Markets

Reversibility of Different Types of Capital Flows to Emerging Markets

... of portfolio investment versus ...that portfolio flows are the most dangerous and it is difficult, if not impossible, to judge a priori the relative importance of the arguments on each ...

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Australian investors' home bias in portfolio equity investment

Australian investors' home bias in portfolio equity investment

... foreign portfolio positions, which greatly hampered the analysis of home ...Coordinated Portfolio Investment Survey (CPIS) dataset on bilateral equity ...on portfolio equity home bias in the ...

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Returns on foreign assets and liabilities: exorbitant privileges and stabilising adjustments  Bruegel Working Paper ISSUE 07 | 29 NOVEMBER 2017

Returns on foreign assets and liabilities: exorbitant privileges and stabilising adjustments Bruegel Working Paper ISSUE 07 | 29 NOVEMBER 2017

... Source: Bruegel using data from the IMF Balance of Payments Statistics. Note: revaluation gain is defined by equation (6). Net position and revaluation considers total assets and liabilities for all countries but the six ...

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REAL ESTATE INVESTMENT PORTFOLIO AND REAL ESTATE INVESTMENT CLIMATE IN BATANGAS PROVINCE

REAL ESTATE INVESTMENT PORTFOLIO AND REAL ESTATE INVESTMENT CLIMATE IN BATANGAS PROVINCE

... Table 9 shows the assessment of the respondents towards the status of ecological aspect of real estate investment climate. It can be gleaned that the overall total weighted mean is equal to 4.46 and verbally ...

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Giants at the Gate: On the Cross section of Private Equity Investment Returns

Giants at the Gate: On the Cross section of Private Equity Investment Returns

... our portfolio companies employ nearly one million people around the world making us a major factor in economies around the ...our portfolio holdings and transactions were combined into a single company, ...

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Strategic Asset Allocation Of Credit Guarantors

Strategic Asset Allocation Of Credit Guarantors

... The mean variance model (Markowitz, 1952, 1956) is a traditional asset allocation framework. Widely implemented by many practitioners thanks to its neat and simple logic, it is, however, subject to drawbacks. They are ...

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Analysis Of Systematic Investment Plan & Lump Sum Investment Plan For Portfolio Management

Analysis Of Systematic Investment Plan & Lump Sum Investment Plan For Portfolio Management

... Bharti Infratel Limited is a public limited company incorporated on November 30, 2006. It is engaged in telecommunication infrastructure business. It is listed in stock exchange on 28-Dec-12. And hence every 28 th day of ...

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