The risk and return profile of Asian real estate stocks

K Hiang Liow, M Chuan Sim - Pacific Rim Property Research …, 2006 - Taylor & Francis
This research examines the risk and return profile of Asian real estate stocks from an
American investor's point of view. Our results indicate that Asian real estate security markets …

An investigation of the benefits of portfolio investment in Central and Eastern European stock markets

CAJ Middleton, SGM Fifield, DM Power - Research in International …, 2008 - Elsevier
This paper:(i) examines the potential benefits from diversifying into eight stock markets of
Central and Eastern Europe (CEE); and (ii) quantifies the importance of country, industry …

Continuous online auditing as a response to the Sarbanes‐Oxley Act

EHE El‐Masry, JL Reck - Managerial Auditing Journal, 2008 - emerald.com
Purpose–The purpose of this paper is to examine investors' perceptions of the usefulness of
continuous online auditing (COA) prior to and after the Sarbanes‐Oxley (SOX) Act and …

Portfolio diversification in a highly inflationary emerging market

ME Hanna, H Kiymaz, G Perdue - Financial Services Review, 2001 - Elsevier
This study applies modern portfolio theory to the individual asset allocation decision of an
investor in an emerging market. The study utilizes data from January 1991 to January 1999 …

Currency-hedging optimization for multi-asset portfolios

H Guo, L Ryan - Journal of Portfolio Management, 2018 - search.proquest.com
Institutional investors with global multi-asset portfolios often make currency-hedging
decisions asset by asset rather than for the overall portfolio. Many impose uniform hedge …

Are South East Europe stock markets integrated with regional and global stock markets?

F Guidi, M Ugur - Available at SSRN 2210925, 2013 - papers.ssrn.com
This paper analyses whether stock markets of South East Europe (SEE) have become more
integrated with regional and global stock markets during 2000s. Using a variety of co …

The wealth effects of portfolio rebalancing in emerging equity markets

MR Eaker, D Grant - Journal of Multinational Financial Management, 2002 - Elsevier
This paper analyzes the wealth effects of alternative portfolio rebalancing strategies for
equity investments in nine emerging markets for the period from 1976 to 1998. The choice of …

Examining the nature of the gains from investment in the emerging stock markets of the Central and Eastern European region

CAJ Middleton, SGM Fifield… - Applied Financial …, 2007 - Taylor & Francis
This article examines the nature of any gains from investing in the emerging stock markets of
Central and Eastern Europe using disaggregated data for 187 shares from eight stock …

Emerging Equity Markets: To Invest Or Not To Invest?

X Garza-Gómez, M Metghalchi - Journal of Applied Business …, 2006 - clutejournals.com
Numerous studies suggest that investors diversifying their portfolios with equity of emerging
markets benefit from increased returns and/or reduced volatility. Using a 16-year sample …

[PDF][PDF] International Diversification in Frontier Real Estate Markets.

ST Al-Abduljader - International Real Estate Review, 2018 - gssinst.org
During the period of 2013-2016, the governments of the Gulf Cooperating Countries (GCC)
1 took the serious initiative of transforming the GCC into a global financial center. They …