Convergence of Capital Markets and International Portfolio Choice
Nebojsa Tesic
Broschiertes Buch

Convergence of Capital Markets and International Portfolio Choice

Investing across countries vs. investing across industries with an overview over the capital markets movements and empirical evidence

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This book examines advantages and disadvantages of national and international investments regarding the convergence of the capital markets and their correlation. The analysis focuses on diversification benefits of investig across countries versus investing across industry sectors. It provides an interpretation of the Markowitz's Mean-Variance analysis. It shows the contribution of the exchange rate risk to the total risk of stock indices portfolio using monthly returns for the last 15 years. It undertakes a correlation analysis among different country and industry indices. The examination of d...