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Using a novel multivariate microstructure model and time varying estimation framework we analyse the change in the information structure of the segmented Shanghai A and B share listed stocks after a significant set of regulatory reforms in 2001, nicknamed the 'year of regulation' by...
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Could institutional investors contribute to the stability of capital markets? The recent 2007- 2008 American subprime mortgage crisis and the 2009 European sovereign debt crisis provided a good example. Although the impact of the two financial crises is still felt across their respective...
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This research explores the effects of adding bitcoin to an optimal portfolio (naïve, long-only, unconstrained and semi-constrained) by relying on mean-CVaR in the Chinese market. Then backtesting to compare the performance of portfolios with and without bitcoin for each scenario is perfomed....
Persistent link: https://www.econbiz.de/10012944563
The Chinese capital market, despite its relative short history in its modern form, has experienced a tremendous growth and is now the second largest in the world. Due to China's tight capital controls, the development of its capital market has mostly been isolated from and hence not been well...
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