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International diversification benefits between US, Turkish and Egyptian stock markets
Högskolan i Skövde, Institutionen för teknik och samhälle.
2005 (engelsk)Inngår i: Review of Middle East Economics and Finance, ISSN 1475-3685, E-ISSN 1475-3693, Vol. 3, nr 2, s. 115-133Artikkel i tidsskrift (Fagfellevurdert) Published
Abstract [en]

International portfolio diversification benefits between US stock markets and corresponding markets in Turkey and Egypt are examined from a short- and long-term perspective. The Johansen cointegration procedure reveals cointegration at the general index level related to some but not all sub-indexes investigated. Granger causality indicates, in general, causality running between USA and Turkey but only isolated cases involving Egypt. Overall, the results suggest that US investors can obtain diversification benefits at a sub-index level given a long-term investment horizon restricted to positions in one but not both Middle Eastern markets in one and the same portfolio. Short-term benefits involve the Egyptian market related to two out of three sub-indexes.

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Walter de Gruyter, 2005. Vol. 3, nr 2, s. 115-133
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URN: urn:nbn:se:his:diva-1685DOI: 10.1080/14753680500166458OAI: oai:DiVA.org:his-1685DiVA, id: diva2:31961
Tilgjengelig fra: 2007-08-13 Laget: 2007-08-13 Sist oppdatert: 2017-12-12bibliografisk kontrollert

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Maneschiöld, Per-Ola

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