Equity Markets in India Returns, Risk and Price Multiples
tarafından
 
Singh, Shveta. author.

Başlık
Equity Markets in India Returns, Risk and Price Multiples

Yazar
Singh, Shveta. author.

ISBN
9789811008689

Yazar
Singh, Shveta. author.

Fiziksel Niteleme
XXVII, 189 p. 16 illus., 8 illus. in color. online resource.

Seri
India Studies in Business and Economics,

İçindekiler
Chapter 1. Introduction -- Chapter 2. Rates of Return on Equities: Corporates’ perspective -- Chapter 3. Expected Rates of Return on Equity -- Chapter 4. Rates of Return on Equities: Investors’ Perspective -- Chapter 5. Rates of Returns: Disaggregative Analysis -- Chapter 6. Analysis of Price Multiples -- Chapter 7. Volatility in Stock Returns -- Chapter 8. Level of Market Efficiency Using the ‘Rational Bubbles’ Approach -- Chapter 9. Concluding Observations.

Özet
The book presents a comprehensive view of the Indian equity markets over the past two decades (1994-2014). Equity markets constitute the most important segment of stock exchanges; in fact, the status of equity returns is, by and large, considered as a barometer of the state of a country’s economy. Returns earned by the equity investors on their funds invested in equity markets have become a decisive factor in the growth of such markets. In this context, the book discusses all the major aspects of equity returns and also conducts a dis-aggregative analysis based on underlying factors like age, size, ownership structure, industry affiliation/sector, among others, to explain the factors affecting returns and risk. While on the one hand the study ascertains the market rates of return (earned) on equities from the investors’ perspective (by including both the capital gains and the dividend income), it also shows how to compute the rates of returns on equities from the corporate perspective (that is, rate of return earned on equity funds). It further assesses the required/expected rate of return and examines the volatility in stock returns, with a focus on its behaviour during the period of the study. It deepens investors’ understanding of equity investment, helping them to make more-informed investments. While of interest to the investor community, this book also contributes significantly to the existing literature on market returns and is a valuable reference resource for academics, researchers and market participants, financial institutions and other intermediaries, regulators and policy makers.

Konu Başlığı
Finance.
 
Risk management.
 
Capital market.
 
Macroeconomics.
 
Capital Markets.
 
Macroeconomics/Monetary Economics//Financial Economics.

Yazar Ek Girişi
Jain, P.K.
 
Yadav, Surendra Singh.

Ek Kurum Yazar
SpringerLink (Online service)

Elektronik Erişim
http://dx.doi.org/10.1007/978-981-10-0868-9


Materyal TürüBarkodYer NumarasıDurumu/İade Tarihi
Electronic Book19087-1001HG4523Springer E-Book Collection