Comparing The Return On Portfolios Of Unit Trusts In Malaysia Using Follow-the-winner And Buy-and-hold Strategy
Kajian ini dilakukan dengan tujuan untuk meniliti prestasi amanah saham di Malaysia daripada jangkamasa 2001 sehinnga 2006. This study examines the performances of unit trusts in Malaysia over the period of 2001 until 2006.
Saved in:
Main Author: | Salleh, Sobri |
---|---|
Format: | Thesis |
Language: | English |
Published: |
2007
|
Subjects: | |
Online Access: | http://eprints.usm.my/29572/1/Comparing_the_return_on_portfolios_of_unit_trusts_in_Malaysia_using_follow-the-winner_and_buy-and-hold_stragegy_.pdf |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
Risk And Return For The Dollar-Cost Averaging (Dca) Versus Lump-Sum (Ls) Strategy On The Market Portfolio Of Stocks Listed On The Kuala Lumpur Stock Exchange (Klse)
by: CHOW, FATT VING
Published: (2004) -
Impact of board, ownership and audit characteristics on cash holdings for listed companies in Jordan
by: Alghadi, Mohammad Yousef Mohammad
Published: (2019) -
The Persistence Of Malaysian Unit Trusts Performance By Using Odds Ratio Analysis
by: Amir, Afizar
Published: (2005) -
The Persistence Of Malaysian Unit Trusts Performance
By Using Odds Ratio Analysis
by: Amir, Afizar
Published: (2005) -
The Persistence Of Malaysian Unit Trusts Performance
By Using Odds Ratio Analysis
by: Amir, Afizar
Published: (2005)