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Investment strategies on French’s 49 industry portfolios

dc.contributor.degreegrantinginstitutionAthens University of Economics and Business, Department of International European Economic Studiesen
dc.contributor.thesisadvisorSkouras, Spyrosen
dc.creatorNakas, Efthymiosen
dc.date31-01-2017
dc.date.accessioned2025-03-26T19:40:34Z
dc.date.available2025-03-26T19:40:34Z
dc.description.abstractThe writing of the present thesis was conducted as part of completion of the graduate program “International Economics and Finance” at Athens University of Economics and Business. The objective of the thesis is to examine the effectiveness of certain investment strategies on past stock returns categorized in 49 industries obtained from Kenneth R. French’s data library. The strategies are based on effects and factors observed in various asset markets. Specifically the strategies are: Momentum, Time-Series Momentum, Size, Book-to-Market and Industry Concentration. The rest of this thesis is organized as follows: Introduction: A brief petition on the main subject, Chapter 1: Detailed presentation of theory elements, Chapter 2: Presentation of the empirical analysis, Chapter 3: Conclusionsen
dc.format.extent34p.
dc.identifier.urihttps://pyxida.aueb.gr/handle/123456789/6808
dc.languageen
dc.rightsCC BY: Attribution alone 4.0
dc.rights.urihttps://creativecommons.org/licenses/by/4.0/
dc.subjectInvestment strategiesen
dc.subjectEffectivenessen
dc.subjectMomentumen
dc.subjectTime-Series Momentumen
dc.subjectSizeen
dc.subjectBook-to-Marketen
dc.subjectIndustry concentrationen
dc.subjectFrench industryen
dc.titleInvestment strategies on French’s 49 industry portfoliosen
dc.typeText

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