Keywords: G23
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Journal Articles
Journal of Capital Markets Studies (2024) 8 (1): 95–125.
Published: 31 May 2024
... Bibliometric Systematic C23 G12 G23 Globally, and particularly in developed countries like the United States, there has been a substantial shift in investor preference toward passive investing. Passive asset management, commonly known as passive investing, is an investment approach...
Journal Articles
Journal of Capital Markets Studies (2022) 6 (3): 287–303.
Published: 03 November 2022
... and independent variables. It also reduces the effect of outliers (Armstrong et al., 2006 ; Collewaert and Manigart, 2016). Business angels Risk capital Comparative analysis Propensity score matching Estonia Emerging countries G23 G32 L26 M13 The second characteristic...
Journal Articles
Journal of Capital Markets Studies (2017) 1 (1): 58–73.
Published: 13 October 2017
.../legalcode Emerging markets Performance evaluation Mutual funds Diversified funds Bond funds G11 G15 G23 Lin (2006) examines the performances of Japanese broad-market equity managers. Findings show that these managers outperform index returns during the 1981-2004 period...

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