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Articles 1 - 19 of 19
Full-Text Articles in Business
Psychological Correlates Of Investor Risk, John Laurin Vaughn
Psychological Correlates Of Investor Risk, John Laurin Vaughn
Theses Digitization Project
The present study explores the efficacy of a standardized psychological test known as Rotter's Internal/External Locus of Control Scale in predicting investor's level of risk aversion.
Intertemporal Relations Between Stock Indices-Correlation Analysis For The Stock Markets Of The United States, England, And Singapore, Michael Nabil Razzouk
Intertemporal Relations Between Stock Indices-Correlation Analysis For The Stock Markets Of The United States, England, And Singapore, Michael Nabil Razzouk
Theses Digitization Project
This research study examines the relationships between various equity markets throughout the world. In this study, returns from the Chicago Stock Exchange, the London Stock Exchange and the Singapore Stock Exchange are compared and analyzed to see if correlations between the markets exist.
Ethical And Faith-Based Investments: An Assessment Of Performance, Hisar Joel Munte
Ethical And Faith-Based Investments: An Assessment Of Performance, Hisar Joel Munte
Theses Digitization Project
The purpose of this thesis will explore the risk and return characteristics of socially responsible investing by comparing three indices, the Domini 400 Social Index (DS400 Index.), the KLD Catholic Values 400 Index (CV400 Index), and the Dow Jones Islamic Market Index (DJIMI). The second objective of the thesis is to contrast the three Socially Responsible Investment (SRI) Indices with the Standard and Poor's 500 index (SP500). In a bid to meet investor demands, mutual fund managers have developed un-conventional portfolios that factor in ethics, sustainability, social, religious and environmental factors that affect returns.
Behaviors Of The Stock Indexes-Correlation Analyses For The Stock Markets Of Japan, The United States, And China, Kazuma Koseki
Behaviors Of The Stock Indexes-Correlation Analyses For The Stock Markets Of Japan, The United States, And China, Kazuma Koseki
Theses Digitization Project
The purpose of this project was to reveal relationships among the stock market performances of the most eye-catching countries the United States, China, and Japan.
Long And Short-Term Effects Of Regime Change On Emerging And Established Markets, Joseph Edward Mayne
Long And Short-Term Effects Of Regime Change On Emerging And Established Markets, Joseph Edward Mayne
Theses Digitization Project
The purpose of this study was to examine a 149-day period surrounding the capture of former Iraqi leader Saddam Hussein on December 13th, 2003. Daily stock returns were obtained from ten major stock market indexes, five from emerging Middle Eastern countries and five from established markets such as the United States and Japan. The ultimate significance of this study is that it can provide insight into whether or not the change of regime in Iraq had a stabilizing or destabilizing impact on the emerging markets of Iraq. This can shed light on future political escalation of violent conflict and give …
Improving The Quality And Quantity Of Commercial Loans For Today's Lenders, Jeffrey Scott Kowallis
Improving The Quality And Quantity Of Commercial Loans For Today's Lenders, Jeffrey Scott Kowallis
Theses Digitization Project
The purpose of this project is to create financial models and techniques that will streamline the loan process as well as improve the risk quality.
Test For The Existence Of Casualty Relationships Between The Market Indices Of The United States And The Gulf Cooperation Council Countries, Yusef Abdullah Yusef Alyusef
Test For The Existence Of Casualty Relationships Between The Market Indices Of The United States And The Gulf Cooperation Council Countries, Yusef Abdullah Yusef Alyusef
Theses Digitization Project
The purpose of this project was to test for such relations between the markets of the Gulf Cooperation Council (GCC) and the United States (U.S.). The GCC countries include the six countries of Bahrain, Kuwait, Oman, Qatar, Saudi Arabia, and the United Arab Emirates (UAE). All six countries stock markets are put to the test to look for correlations and to determine the impact of any relationship between them and the U.S. On the other hand, the U.S. is the largest economy, as it represents one of the largest energy consumers of their oil production.
A Study Of Strategies For Successful Enterprise Resource Planning Implementation In A Merger And Acqusition Environment, Maricelle Casquejo Thomas
A Study Of Strategies For Successful Enterprise Resource Planning Implementation In A Merger And Acqusition Environment, Maricelle Casquejo Thomas
Theses Digitization Project
This project will be focusing on the business problem of integrating information systems within a M & A organization, in this case to a SAP platform. SAP is the platform the parent company uses to run its corporate business functions.
The New York Stock Exchange/Euronext Merge, Di Wu
The New York Stock Exchange/Euronext Merge, Di Wu
Theses Digitization Project
The purpose of this project is to discuss the merger between NYSE Group and Euronext, forming a new holding company named NYSE Euronext.
Analysis Of Trade Dependence And Correlation Of Market Returns Between The United States And Nordic Countries, Helen Saar
Theses Digitization Project
The purpose of the present research paper was three fold. First, determine if there is a trade interdependence between the United States and Nordic countries (Denmark, Finland, Sweden, and Baltic States). Second, determine if there is correlation between the respective equity markets. Third, determine if the changes in the trade relations lead to the changes in stock market correlations. The hypothesis of the project was that weaker trade relations between two countries would lead to lower correlation between their stock markets, providing beneficial opportunities for portfolio diversification. The overall objective is to ascertain if Nordic markets are good targets to …
The Potage Of Chinese Stocks: Strengths And Weaknesses For United States Investors, Shubhi Srivastava
The Potage Of Chinese Stocks: Strengths And Weaknesses For United States Investors, Shubhi Srivastava
Theses Digitization Project
The thesis examined the differences between the Chinese market, a fast-growing emerging market, and that of the United States, a well-known developed market. In order to understand the overall performance of the Chinese stock market, the research compared the risk and returns characteristics of Chinese stock markets using the S & P 500 Index for the 2000-2005 period. Findings show that significant differences exist between the Chinese and the U.S. markets. The thesis also attempted to identify the characteristics of the Chinese markets that hinder their efficiency.
Performance Measures: Traditional Versus New Models, Hasan Zafer Yuksel
Performance Measures: Traditional Versus New Models, Hasan Zafer Yuksel
Theses Digitization Project
The thesis analyzed the performance of 5,987 mutual funds using a database called Steele Mutual Fund Experts and compared the predicting ability of various measures of performance. The measures discussed in the thesis are Treynor Ratio, Sharpe Ratio, Jensen's Alpha, Graham-Harvey-1 (GH-1), and Graham-Harvey-2 (GH-2). The performance measures are mostly used by professional money managers and scholars for literary purposes.
Analysis Of Trade Dependence And Correlation Of Market Returns To Hedge Portfolio Risk, Carl Eric Zeise
Analysis Of Trade Dependence And Correlation Of Market Returns To Hedge Portfolio Risk, Carl Eric Zeise
Theses Digitization Project
The project examines the relationship between trade interdependency and correlation of market returns between the United States and the four emerging economies of Singapore, Malaysia, Thailand and the Philippines. The author analyzed statistical data for trade interdependency and market return to determine if there is a pattern that would provide the basis for increasing the return of a security portfolio without increasing the risk to the investor. The project analysis relied on mathematical formulas to measure the trade relationships between the selected countries and to calculate the measure of return and measure of risk of investing in each emergent market.
Credit Union Service Organization Products And Services: Implications, Decisions, And Strategies, Michael Burnett Bare
Credit Union Service Organization Products And Services: Implications, Decisions, And Strategies, Michael Burnett Bare
Theses Digitization Project
This project will create strategic tools for the Credit Union and CUSO to use in order to best create a more symbiotic relationship between the two entities.
Development Of Russian Commercial Banks And Financial Crisis Of 1998, Anna Barc
Development Of Russian Commercial Banks And Financial Crisis Of 1998, Anna Barc
Theses Digitization Project
This report describes the development of commercial banks in Russia and role of government and Central Bank in advance of Russian financial system.
Strategic Business Plan: Senior Planning Solutions, Sherdon Hamel
Strategic Business Plan: Senior Planning Solutions, Sherdon Hamel
Theses Digitization Project
No abstract provided.
Justification For A Credit Union To Charter A Bank, Diane Patricia Eazell
Justification For A Credit Union To Charter A Bank, Diane Patricia Eazell
Theses Digitization Project
No abstract provided.
Credit Card Credit Scoring And Risk Based Lending At Xyz Credit Union, John Brett Martinez
Credit Card Credit Scoring And Risk Based Lending At Xyz Credit Union, John Brett Martinez
Theses Digitization Project
No abstract provided.
Community Development Work Study Grant Proposal To Hud: The Selection Factors And Management Plan, Strawberry Kathy Gatts
Community Development Work Study Grant Proposal To Hud: The Selection Factors And Management Plan, Strawberry Kathy Gatts
Theses Digitization Project
No abstract provided.