Returns: An International Perspective
DOI:
https://doi.org/10.58886/jfi.v7i1.2577Abstract
This study examines risk and return characteristics of developed and emerging country stock markets. In recent years, U.S. individual investors have increasingly invested in foreign markets and are therefore interested in understanding stock market performance in other countries. Also, students find financial theory more relevant if concepts are explained using actual stock market data. Therefore, the results of this study will be helpful in explaining stock market return and risk concepts to individual investors and students alike.
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Published
2009-12-31
How to Cite
Patel, Jayen. 2009. “Returns: An International Perspective”. Journal of Finance Issues 7 (1):153-62. https://doi.org/10.58886/jfi.v7i1.2577.
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Original Articles