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This study analyses the cost of financial distress of non-financial firms listed on the Pakistan stock exchange. Furthermore, it considers the moderating role of concentrated ownership in the relationship between debt and expected financial distress costs. We used the panel data of 214 firms...
Persistent link: https://www.econbiz.de/10014500702
We aim to construct portfolios by employing different risk models and compare their performance in order to understand their appropriateness for effective portfolio management for investors. Mean variance (MV), semi variance (SV), mean absolute deviation (MaD) and conditional value at risk...
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This study examines the impact of financial literacy, accounting information, openness to experience and information asymmetry on the short-term investment decision-making of the stock market investors. For this purpose 23-item questionnaire was developed and distributed among 185 stock market...
Persistent link: https://www.econbiz.de/10013101917