Evaluation du Risque d’un Echantillon de Valeurs Mobilières de la Bourse de Casablanca
Alternative title: | Risk Assessment of a Sample of Securities in Casablanca Stock Exchange |
---|---|
Year of publication: |
2008-05
|
Authors: | Abderrazik, Amal ; Boutkardine, Mehdi ; Bahi, El ; Houda, Nour El ; Kartoubi, Salah Eddine ; El Bouhadi, Abdelhamid |
Institutions: | Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München |
Subject: | Risk | variance | semi-variance | profitability | risk shortfall | VaR | mean absolute deviation | coefficient of systematic risk |
Extent: | application/pdf |
---|---|
Series: | |
Type of publication: | Book / Working Paper |
Classification: | G14 - Information and Market Efficiency; Event Studies ; G12 - Asset Pricing ; G11 - Portfolio Choice ; C52 - Model Evaluation and Testing ; C22 - Time-Series Models |
Source: |
-
El Bouhadi, A., (2008)
-
Political news and stock market reactions : evidence from Turkey over the period 2008-2017
Karime, Sleiman, (2019)
-
Conditional Downside Risk and the CAPM
Vliet, Pim van, (2004)
- More ...
-
EL BOUHADI, Abdelhamid, (2010)
-
Contrôle et régulation du marché boursier : un problème de risque moral
El Bouhadi, Abdelhamid, (2009)
-
El Bouhadi, Abdelhamid, (2009)
- More ...