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dc.contributor.authorGumrah, Umit
dc.contributor.authorDEMİRCİ, Ebru
dc.date.accessioned2022-02-18T11:28:24Z
dc.date.available2022-02-18T11:28:24Z
dc.date.issued2009
dc.identifier.citationGumrah U., DEMİRCİ E., "Return inverval and investment horizon on Istanbul Stock Exchange", ISTANBUL UNIVERSITY JOURNAL OF THE SCHOOL OF BUSINESS, cilt.38, sa.2, ss.184-196, 2009
dc.identifier.othervv_1032021
dc.identifier.otherav_fc9bc306-0d29-40df-94b6-c0be201f60e0
dc.identifier.urihttp://hdl.handle.net/20.500.12627/181281
dc.description.abstractThe main purpose of this study is to investigate the effects of return interval and investment horizon under the adjustment techniques of both Blume and Vasicek on ISE. By using daily, weekly, two weeks and monthly return intervals and one, two, three and four period investment horizons, beta regressions are estimated. Generally, as the return interval decreases from monthly to daily period, MSE decreases. Generally, as the investment horizon increases, MSE decreases. Results suggest that daily return intervals and four years investment horizon are the best for beta estimation. These results are similar to findings of Daves, Ehrhardt and Kunkel (2000)
dc.language.isoeng
dc.subjectAccounting
dc.subjectBusiness, Management and Accounting (miscellaneous)
dc.subjectFinance
dc.subjectSocial Sciences & Humanities
dc.subjectÇalışma Ekonomisi ve Endüstri ilişkileri
dc.subjectÇalışma Ekonomisi
dc.subjectSosyal ve Beşeri Bilimler
dc.subjectSosyal Bilimler (SOC)
dc.subjectEkonomi ve İş
dc.subjectİŞ FİNANSI
dc.titleReturn inverval and investment horizon on Istanbul Stock Exchange
dc.typeMakale
dc.relation.journalISTANBUL UNIVERSITY JOURNAL OF THE SCHOOL OF BUSINESS
dc.contributor.departmentİstanbul Teknik Üniversitesi , ,
dc.identifier.volume38
dc.identifier.issue2
dc.identifier.startpage184
dc.identifier.endpage196
dc.contributor.firstauthorID3377174


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