Handbook of research on stock market investment practices and portfolio management:
"This book will cover the most significant aspects related to investment in stock markets and portfolio management strategies relevant for future generations"--
Gespeichert in:
Weitere Verfasser: | , |
---|---|
Format: | Elektronisch E-Book |
Sprache: | English |
Veröffentlicht: |
Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) :
IGI Global,
2022.
|
Schlagworte: | |
Online-Zugang: | Volltext |
Zusammenfassung: | "This book will cover the most significant aspects related to investment in stock markets and portfolio management strategies relevant for future generations"-- |
Beschreibung: | 30 PDFs (471 pages) Also available in print. |
Format: | Mode of access: World Wide Web. |
Bibliographie: | Includes bibliographical references and index. |
ISBN: | 9781668455302 |
Zugangseinschränkungen: | Restricted to subscribers or individual electronic text purchasers. |
Internformat
MARC
LEADER | 00000nam a2200000 i 4500 | ||
---|---|---|---|
001 | ZDB-98-IGB-00296141 | ||
003 | IGIG | ||
005 | 20220923134413.0 | ||
006 | m eo d | ||
007 | cr bn |||m|||a | ||
008 | 220924s2022 pau fob 001 0 eng d | ||
020 | |a 9781668455302 |q PDF | ||
020 | |z 1668455285 |q hardcover | ||
020 | |z 9781668455289 |q hardcover | ||
024 | 7 | |a 10.4018/978-1-6684-5528-9 |2 doi | |
035 | |a (CaBNVSL)slc00003397 | ||
035 | |a (OCoLC)1345696096 | ||
040 | |a CaBNVSL |b eng |e rda |c CaBNVSL |d CaBNVSL | ||
050 | 4 | |a HG4529.5 |b .R435 2022eb | |
082 | 7 | |a 332.6 |2 23 | |
245 | 0 | 0 | |a Handbook of research on stock market investment practices and portfolio management |c Renuka Sharma and Kiran Mehta, editors. |
264 | 1 | |a Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) : |b IGI Global, |c 2022. | |
300 | |a 30 PDFs (471 pages) | ||
336 | |a text |2 rdacontent | ||
337 | |a electronic |2 isbdmedia | ||
338 | |a online resource |2 rdacarrier | ||
504 | |a Includes bibliographical references and index. | ||
505 | 0 | |a Chapter 1. The relation between interest rates and stock returns -- Chapter 2. An adaptive prospect theory view of market references: NARDL and GARCH-x models -- Chapter 3. The impact of oil prices on real stock returns: empirical research for Turkey -- Chapter 4. Application of DEA and TOPSIS in benchmarking efficient units of energy index of India -- Chapter 5. Taxing the golden glitter: an analysis of the drivers and dynamics behind gold investment -- Chapter 6. An analysis of the volatility index with the vector error correction model -- Chapter 7. Escalate the returns with AI-based technical analysis before investment in the stock market -- Chapter 8. Effects of implied volatility indices on CESEE stock markets: exploratory analysis -- Chapter 9. Strategy management of institutional investors: under China's QFII regimes -- Chapter 10. The US capital markets: determinants of household investments -- Chapter 11. Psychological traits and investors' cryptocurrency behavior -- Chapter 12. ESG, stock prices, and firm value -- Chapter 13. Impact investing and the roles of family offices: sustainable and responsible investment strategies -- Chapter 14. Market efficiency and COVID-19: an empirical analysis of the Indian stock market -- Chapter 15. The dynamic connectedness between global macroeconomic risks and international stock markets: a diagonal BEKK approach -- Chapter 16. Active equity investing: post-COVID-19 investment strategies and portfolio construction under the unique institutional settings of China -- Chapter 17. Cryptocurrency as an emerging and modern investment avenue in India -- Chapter 18. Corporate governance and firm performance: a systematic literature review and future research directions -- Chapter 19. Impact of emotional intelligence and behavioral biases on trading decisions -- Chapter 20. The South Asian sharing economy: marketing theory and practice -- Chapter 21. Linkages among cryptocurrencies: a network analysis approach. | |
506 | |a Restricted to subscribers or individual electronic text purchasers. | ||
520 | |a "This book will cover the most significant aspects related to investment in stock markets and portfolio management strategies relevant for future generations"-- |c Provided by publisher. | ||
530 | |a Also available in print. | ||
538 | |a Mode of access: World Wide Web. | ||
588 | |a Description based on title screen (IGI Global, viewed 09/24/2022). | ||
650 | 0 | |a Investments. | |
650 | 0 | |a Portfolio management. | |
650 | 0 | |a Stock exchanges. | |
700 | 1 | |a Mehta, Kiran |d 1980- |e editor. | |
700 | 1 | |a Sharma, Renuka |d 1980- |e editor. | |
710 | 2 | |a IGI Global, |e publisher. | |
776 | 0 | 8 | |i Print version: |z 1668455285 |z 9781668455289 |
856 | 4 | 0 | |l FWS01 |p ZDB-98-IGB |q FWS_PDA_IGB |u http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-6684-5528-9 |3 Volltext |
912 | |a ZDB-98-IGB | ||
049 | |a DE-863 |
Datensatz im Suchindex
DE-BY-FWS_katkey | ZDB-98-IGB-00296141 |
---|---|
_version_ | 1804751464366604288 |
adam_text | |
any_adam_object | |
author2 | Mehta, Kiran 1980- Sharma, Renuka 1980- |
author2_role | edt edt |
author2_variant | k m km r s rs |
author_facet | Mehta, Kiran 1980- Sharma, Renuka 1980- |
building | Verbundindex |
bvnumber | localFWS |
callnumber-first | H - Social Science |
callnumber-label | HG4529 |
callnumber-raw | HG4529.5 .R435 2022eb |
callnumber-search | HG4529.5 .R435 2022eb |
callnumber-sort | HG 44529.5 R435 42022EB |
callnumber-subject | HG - Finance |
collection | ZDB-98-IGB |
contents | Chapter 1. The relation between interest rates and stock returns -- Chapter 2. An adaptive prospect theory view of market references: NARDL and GARCH-x models -- Chapter 3. The impact of oil prices on real stock returns: empirical research for Turkey -- Chapter 4. Application of DEA and TOPSIS in benchmarking efficient units of energy index of India -- Chapter 5. Taxing the golden glitter: an analysis of the drivers and dynamics behind gold investment -- Chapter 6. An analysis of the volatility index with the vector error correction model -- Chapter 7. Escalate the returns with AI-based technical analysis before investment in the stock market -- Chapter 8. Effects of implied volatility indices on CESEE stock markets: exploratory analysis -- Chapter 9. Strategy management of institutional investors: under China's QFII regimes -- Chapter 10. The US capital markets: determinants of household investments -- Chapter 11. Psychological traits and investors' cryptocurrency behavior -- Chapter 12. ESG, stock prices, and firm value -- Chapter 13. Impact investing and the roles of family offices: sustainable and responsible investment strategies -- Chapter 14. Market efficiency and COVID-19: an empirical analysis of the Indian stock market -- Chapter 15. The dynamic connectedness between global macroeconomic risks and international stock markets: a diagonal BEKK approach -- Chapter 16. Active equity investing: post-COVID-19 investment strategies and portfolio construction under the unique institutional settings of China -- Chapter 17. Cryptocurrency as an emerging and modern investment avenue in India -- Chapter 18. Corporate governance and firm performance: a systematic literature review and future research directions -- Chapter 19. Impact of emotional intelligence and behavioral biases on trading decisions -- Chapter 20. The South Asian sharing economy: marketing theory and practice -- Chapter 21. Linkages among cryptocurrencies: a network analysis approach. |
ctrlnum | (CaBNVSL)slc00003397 (OCoLC)1345696096 |
dewey-full | 332.6 |
dewey-hundreds | 300 - Social sciences |
dewey-ones | 332 - Financial economics |
dewey-raw | 332.6 |
dewey-search | 332.6 |
dewey-sort | 3332.6 |
dewey-tens | 330 - Economics |
discipline | Wirtschaftswissenschaften |
format | Electronic eBook |
fullrecord | <?xml version="1.0" encoding="UTF-8"?><collection xmlns="http://www.loc.gov/MARC21/slim"><record><leader>03878nam a2200457 i 4500</leader><controlfield tag="001">ZDB-98-IGB-00296141</controlfield><controlfield tag="003">IGIG</controlfield><controlfield tag="005">20220923134413.0</controlfield><controlfield tag="006">m eo d </controlfield><controlfield tag="007">cr bn |||m|||a</controlfield><controlfield tag="008">220924s2022 pau fob 001 0 eng d</controlfield><datafield tag="020" ind1=" " ind2=" "><subfield code="a">9781668455302</subfield><subfield code="q">PDF</subfield></datafield><datafield tag="020" ind1=" " ind2=" "><subfield code="z">1668455285</subfield><subfield code="q">hardcover</subfield></datafield><datafield tag="020" ind1=" " ind2=" "><subfield code="z">9781668455289</subfield><subfield code="q">hardcover</subfield></datafield><datafield tag="024" ind1="7" ind2=" "><subfield code="a">10.4018/978-1-6684-5528-9</subfield><subfield code="2">doi</subfield></datafield><datafield tag="035" ind1=" " ind2=" "><subfield code="a">(CaBNVSL)slc00003397</subfield></datafield><datafield tag="035" ind1=" " ind2=" "><subfield code="a">(OCoLC)1345696096</subfield></datafield><datafield tag="040" ind1=" " ind2=" "><subfield code="a">CaBNVSL</subfield><subfield code="b">eng</subfield><subfield code="e">rda</subfield><subfield code="c">CaBNVSL</subfield><subfield code="d">CaBNVSL</subfield></datafield><datafield tag="050" ind1=" " ind2="4"><subfield code="a">HG4529.5</subfield><subfield code="b">.R435 2022eb</subfield></datafield><datafield tag="082" ind1="7" ind2=" "><subfield code="a">332.6</subfield><subfield code="2">23</subfield></datafield><datafield tag="245" ind1="0" ind2="0"><subfield code="a">Handbook of research on stock market investment practices and portfolio management </subfield><subfield code="c">Renuka Sharma and Kiran Mehta, editors.</subfield></datafield><datafield tag="264" ind1=" " ind2="1"><subfield code="a">Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) :</subfield><subfield code="b">IGI Global,</subfield><subfield code="c">2022.</subfield></datafield><datafield tag="300" ind1=" " ind2=" "><subfield code="a">30 PDFs (471 pages)</subfield></datafield><datafield tag="336" ind1=" " ind2=" "><subfield code="a">text</subfield><subfield code="2">rdacontent</subfield></datafield><datafield tag="337" ind1=" " ind2=" "><subfield code="a">electronic</subfield><subfield code="2">isbdmedia</subfield></datafield><datafield tag="338" ind1=" " ind2=" "><subfield code="a">online resource</subfield><subfield code="2">rdacarrier</subfield></datafield><datafield tag="504" ind1=" " ind2=" "><subfield code="a">Includes bibliographical references and index.</subfield></datafield><datafield tag="505" ind1="0" ind2=" "><subfield code="a">Chapter 1. The relation between interest rates and stock returns -- Chapter 2. An adaptive prospect theory view of market references: NARDL and GARCH-x models -- Chapter 3. The impact of oil prices on real stock returns: empirical research for Turkey -- Chapter 4. Application of DEA and TOPSIS in benchmarking efficient units of energy index of India -- Chapter 5. Taxing the golden glitter: an analysis of the drivers and dynamics behind gold investment -- Chapter 6. An analysis of the volatility index with the vector error correction model -- Chapter 7. Escalate the returns with AI-based technical analysis before investment in the stock market -- Chapter 8. Effects of implied volatility indices on CESEE stock markets: exploratory analysis -- Chapter 9. Strategy management of institutional investors: under China's QFII regimes -- Chapter 10. The US capital markets: determinants of household investments -- Chapter 11. Psychological traits and investors' cryptocurrency behavior -- Chapter 12. ESG, stock prices, and firm value -- Chapter 13. Impact investing and the roles of family offices: sustainable and responsible investment strategies -- Chapter 14. Market efficiency and COVID-19: an empirical analysis of the Indian stock market -- Chapter 15. The dynamic connectedness between global macroeconomic risks and international stock markets: a diagonal BEKK approach -- Chapter 16. Active equity investing: post-COVID-19 investment strategies and portfolio construction under the unique institutional settings of China -- Chapter 17. Cryptocurrency as an emerging and modern investment avenue in India -- Chapter 18. Corporate governance and firm performance: a systematic literature review and future research directions -- Chapter 19. Impact of emotional intelligence and behavioral biases on trading decisions -- Chapter 20. The South Asian sharing economy: marketing theory and practice -- Chapter 21. Linkages among cryptocurrencies: a network analysis approach.</subfield></datafield><datafield tag="506" ind1=" " ind2=" "><subfield code="a">Restricted to subscribers or individual electronic text purchasers.</subfield></datafield><datafield tag="520" ind1=" " ind2=" "><subfield code="a">"This book will cover the most significant aspects related to investment in stock markets and portfolio management strategies relevant for future generations"--</subfield><subfield code="c">Provided by publisher.</subfield></datafield><datafield tag="530" ind1=" " ind2=" "><subfield code="a">Also available in print.</subfield></datafield><datafield tag="538" ind1=" " ind2=" "><subfield code="a">Mode of access: World Wide Web.</subfield></datafield><datafield tag="588" ind1=" " ind2=" "><subfield code="a">Description based on title screen (IGI Global, viewed 09/24/2022).</subfield></datafield><datafield tag="650" ind1=" " ind2="0"><subfield code="a">Investments.</subfield></datafield><datafield tag="650" ind1=" " ind2="0"><subfield code="a">Portfolio management.</subfield></datafield><datafield tag="650" ind1=" " ind2="0"><subfield code="a">Stock exchanges.</subfield></datafield><datafield tag="700" ind1="1" ind2=" "><subfield code="a">Mehta, Kiran</subfield><subfield code="d">1980-</subfield><subfield code="e">editor. </subfield></datafield><datafield tag="700" ind1="1" ind2=" "><subfield code="a">Sharma, Renuka</subfield><subfield code="d">1980-</subfield><subfield code="e">editor.</subfield></datafield><datafield tag="710" ind1="2" ind2=" "><subfield code="a">IGI Global,</subfield><subfield code="e">publisher.</subfield></datafield><datafield tag="776" ind1="0" ind2="8"><subfield code="i">Print version:</subfield><subfield code="z">1668455285</subfield><subfield code="z">9781668455289</subfield></datafield><datafield tag="856" ind1="4" ind2="0"><subfield code="l">FWS01</subfield><subfield code="p">ZDB-98-IGB</subfield><subfield code="q">FWS_PDA_IGB</subfield><subfield code="u">http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-6684-5528-9</subfield><subfield code="3">Volltext</subfield></datafield><datafield tag="912" ind1=" " ind2=" "><subfield code="a">ZDB-98-IGB</subfield></datafield><datafield tag="049" ind1=" " ind2=" "><subfield code="a">DE-863</subfield></datafield></record></collection> |
id | ZDB-98-IGB-00296141 |
illustrated | Not Illustrated |
indexdate | 2024-07-16T15:51:58Z |
institution | BVB |
isbn | 9781668455302 |
language | English |
oclc_num | 1345696096 |
open_access_boolean | |
owner | DE-863 DE-BY-FWS |
owner_facet | DE-863 DE-BY-FWS |
physical | 30 PDFs (471 pages) Also available in print. |
psigel | ZDB-98-IGB |
publishDate | 2022 |
publishDateSearch | 2022 |
publishDateSort | 2022 |
publisher | IGI Global, |
record_format | marc |
spelling | Handbook of research on stock market investment practices and portfolio management Renuka Sharma and Kiran Mehta, editors. Hershey, Pennsylvania (701 E. Chocolate Avenue, Hershey, Pennsylvania, 17033, USA) : IGI Global, 2022. 30 PDFs (471 pages) text rdacontent electronic isbdmedia online resource rdacarrier Includes bibliographical references and index. Chapter 1. The relation between interest rates and stock returns -- Chapter 2. An adaptive prospect theory view of market references: NARDL and GARCH-x models -- Chapter 3. The impact of oil prices on real stock returns: empirical research for Turkey -- Chapter 4. Application of DEA and TOPSIS in benchmarking efficient units of energy index of India -- Chapter 5. Taxing the golden glitter: an analysis of the drivers and dynamics behind gold investment -- Chapter 6. An analysis of the volatility index with the vector error correction model -- Chapter 7. Escalate the returns with AI-based technical analysis before investment in the stock market -- Chapter 8. Effects of implied volatility indices on CESEE stock markets: exploratory analysis -- Chapter 9. Strategy management of institutional investors: under China's QFII regimes -- Chapter 10. The US capital markets: determinants of household investments -- Chapter 11. Psychological traits and investors' cryptocurrency behavior -- Chapter 12. ESG, stock prices, and firm value -- Chapter 13. Impact investing and the roles of family offices: sustainable and responsible investment strategies -- Chapter 14. Market efficiency and COVID-19: an empirical analysis of the Indian stock market -- Chapter 15. The dynamic connectedness between global macroeconomic risks and international stock markets: a diagonal BEKK approach -- Chapter 16. Active equity investing: post-COVID-19 investment strategies and portfolio construction under the unique institutional settings of China -- Chapter 17. Cryptocurrency as an emerging and modern investment avenue in India -- Chapter 18. Corporate governance and firm performance: a systematic literature review and future research directions -- Chapter 19. Impact of emotional intelligence and behavioral biases on trading decisions -- Chapter 20. The South Asian sharing economy: marketing theory and practice -- Chapter 21. Linkages among cryptocurrencies: a network analysis approach. Restricted to subscribers or individual electronic text purchasers. "This book will cover the most significant aspects related to investment in stock markets and portfolio management strategies relevant for future generations"-- Provided by publisher. Also available in print. Mode of access: World Wide Web. Description based on title screen (IGI Global, viewed 09/24/2022). Investments. Portfolio management. Stock exchanges. Mehta, Kiran 1980- editor. Sharma, Renuka 1980- editor. IGI Global, publisher. Print version: 1668455285 9781668455289 FWS01 ZDB-98-IGB FWS_PDA_IGB http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-6684-5528-9 Volltext |
spellingShingle | Handbook of research on stock market investment practices and portfolio management Chapter 1. The relation between interest rates and stock returns -- Chapter 2. An adaptive prospect theory view of market references: NARDL and GARCH-x models -- Chapter 3. The impact of oil prices on real stock returns: empirical research for Turkey -- Chapter 4. Application of DEA and TOPSIS in benchmarking efficient units of energy index of India -- Chapter 5. Taxing the golden glitter: an analysis of the drivers and dynamics behind gold investment -- Chapter 6. An analysis of the volatility index with the vector error correction model -- Chapter 7. Escalate the returns with AI-based technical analysis before investment in the stock market -- Chapter 8. Effects of implied volatility indices on CESEE stock markets: exploratory analysis -- Chapter 9. Strategy management of institutional investors: under China's QFII regimes -- Chapter 10. The US capital markets: determinants of household investments -- Chapter 11. Psychological traits and investors' cryptocurrency behavior -- Chapter 12. ESG, stock prices, and firm value -- Chapter 13. Impact investing and the roles of family offices: sustainable and responsible investment strategies -- Chapter 14. Market efficiency and COVID-19: an empirical analysis of the Indian stock market -- Chapter 15. The dynamic connectedness between global macroeconomic risks and international stock markets: a diagonal BEKK approach -- Chapter 16. Active equity investing: post-COVID-19 investment strategies and portfolio construction under the unique institutional settings of China -- Chapter 17. Cryptocurrency as an emerging and modern investment avenue in India -- Chapter 18. Corporate governance and firm performance: a systematic literature review and future research directions -- Chapter 19. Impact of emotional intelligence and behavioral biases on trading decisions -- Chapter 20. The South Asian sharing economy: marketing theory and practice -- Chapter 21. Linkages among cryptocurrencies: a network analysis approach. Investments. Portfolio management. Stock exchanges. |
title | Handbook of research on stock market investment practices and portfolio management |
title_auth | Handbook of research on stock market investment practices and portfolio management |
title_exact_search | Handbook of research on stock market investment practices and portfolio management |
title_full | Handbook of research on stock market investment practices and portfolio management Renuka Sharma and Kiran Mehta, editors. |
title_fullStr | Handbook of research on stock market investment practices and portfolio management Renuka Sharma and Kiran Mehta, editors. |
title_full_unstemmed | Handbook of research on stock market investment practices and portfolio management Renuka Sharma and Kiran Mehta, editors. |
title_short | Handbook of research on stock market investment practices and portfolio management |
title_sort | handbook of research on stock market investment practices and portfolio management |
topic | Investments. Portfolio management. Stock exchanges. |
topic_facet | Investments. Portfolio management. Stock exchanges. |
url | http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-6684-5528-9 |
work_keys_str_mv | AT mehtakiran handbookofresearchonstockmarketinvestmentpracticesandportfoliomanagement AT sharmarenuka handbookofresearchonstockmarketinvestmentpracticesandportfoliomanagement AT igiglobal handbookofresearchonstockmarketinvestmentpracticesandportfoliomanagement |