The Case of India
E-Book, Englisch, 102 Seiten, eBook
Reihe: SpringerBriefs in Finance
ISBN: 978-81-322-2026-8
Verlag: Springer India
Format: PDF
Kopierschutz: Wasserzeichen (»Systemvoraussetzungen)
In order to do so, it follows the development of five different portfolios consisting of 100% green, 75% green-25% gray, 50% green-50% gray, 25% green-75% gray and 100% gray stocks, and attempts to answer questions such as: Do green portfolios entail less relative own-risk as compared to their gray counterparts? How effectively do green portfolios avoid market risk? Are green portfolios inherently more stable? Do green portfolios have a higher probability of surviving a financial crisis? Is the performance of green portfolios backed by their fundamentals? Is there any particular technical trading strategy that can ensure a consistently above-average return from these portfolios?
Zielgruppe
Research
Autoren/Hrsg.
Weitere Infos & Material
Chapter 1.
Prologue.-
Chapter 2.
Greens – the obvious choice over the grays?.- The Green indexes.- Greens and Grays in the Indian market.- Green and the gray: a comparative approach in terms of risk and return.-
Are the green portfolios inherently unstable? A look into possible non-linearity of portfolio returns.- How shock-proof the green portfolios are: a survival analysis.- Factors affecting Financial stress: Greens versus Grays.- Are the greens obvious choice over the greys? –Some remarks.-
Chapter 3.
Profits are Forever: A Green Momentum Strategy Perspective.- Beating the market – end of an myth?.- Technical Trading Rules: A Review of the Alternative Methodologies.- Optimal Trading Rules.- Does green really rule the others? A bird’s eye perspective.-
Chapter 4.
Epilogue.