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Corporate bond returns in the major developed economies increase with risk, as measured by maturity and ratings. From a …
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another. Sometimes, earning a substantial return in the stock market seems complicated to implement for an individual investor … model helps find one or several stocks that generate the highest return on a separate step. Applying this model, experiments … returns in these markets has been noticed. In the German market, during the 97-day period, the authors obtained a 1.46 return …
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behaviour, aiming at investigating the impact of bank equity on the risk and return of Vietnamese commercial banks during the … larger capital buffers tend to take less risk but are less profitable. In addition, the study also finds a non …-linear relationship revealing that bank risk mitigates the effect of bank equity on profitability. Most estimations show strong robustness …
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risk and returns from capital projects using standard capital asset pricing method. To demonstrate how the present values … two stocks increased equity risk when weight ratios are not balanced in portfolio, while a negative correlation reduced … equity risk. …
Persistent link: https://www.econbiz.de/10012664361
an input in the second step to estimate the parameters characterizing the risk-return tradeoff via a GMM approach. We … return of the stock market and its conditional variance due to the latency of these conditional moments. We use intra …
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