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This paper studies wealth redistribution in a framework where individual portfolio choices and associated returns are correlated with wealth through: (i) type dependence, which reflects that investment skills drive returns and (ii) scale dependence, which captures that wealth itself triggers...
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This paper provides empirical evidence on the relation between stock returns and inflationary expectations using a panel of firm level data covering a broad range of industries and Turkish common stock market index from 1986 to 2013. I use survey of inflationary expectations to examine Fisher...
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brand equity grounded in economic theory. Using the Euler equations from the firm's maximization problem I derive closed …
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We document the empirical fact that asset prices in the consumption-goods and investment-goods sector behave almost identically in the US economy. In order to derive the cyclical behavior of the equity returns in these two sectors, we consider a standard two-sector real-business cycle model with...
Persistent link: https://www.econbiz.de/10009786095
Mutual fund is an investment company or trust that pools the resources from thousands of its unit holders, who share common investment goal, and then diversifies its investments into different types of securities in order to realize potential returns with reasonable safety.The objective of the...
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