Asset Management and The Case of Turkey: Risk Adjusted Performance Evaluation of Turkish Mutual and Pension Funds - Tapa blanda

Öztürk

 
9783631879535: Asset Management and The Case of Turkey: Risk Adjusted Performance Evaluation of Turkish Mutual and Pension Funds

Sinopsis

In this book, we first reviewed the fund performance measurement ratios and then we evaluated these performance measures of mutual and pension funds in Turkey to determine whether the funds generate alphas (excess returns). There is no evidence that the risk-adjusted performances are better in the long run.

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Acerca del autor

Tayfun Özkan is an executive board member at Asset Management Company in Turkey.
He is also a part time lecturer in finance at Bahçes¸ehir University.


Hakkı Öztürk is an associate professor of finance at Bahçes¸ehir University in Istanbul,
Turkey. His areas of expertise include corporate finance, firm valuation, fundamental
analysis, technical analysis and portfolio management.

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