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Global Risk Premia on International Investments

Global Risk Premia on International Investments

von Peter Oertmann
Softcover - 9783824464975
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Beschreibung

Capital investing has become a global business. More and more investors tend to allocate significant portions of their portfolios to international stock and bond markets. To successfully control the risk of globally diversified portfolios, asset managers need to have a distinct understanding of the forces influencing the returns on international financial markets. Peter Oertmann provides empirical evidence on the cross-sectional structure as well as the time-evolution of returns and expected returns on international stock and bond markets. Implementing unconditional as well as conditional beta pricing models, the author identifies global economic factors that affect the performance of international investments. The analysis reveals an association between global indicators of current and future economic health and the evolution of risk premia associated with these factors.

Details

Verlag Deutscher Universitätsverlag
Ersterscheinung April 1997
Maße 20.3 cm x 13.3 cm
Gewicht 374 Gramm
Format Softcover
ISBN-13 9783824464975
Auflage 1997
Seiten 306