Capital and Crypto Markets: Institutional Investor Behavior and Strategies

Capital and Crypto Markets: Institutional Investor Behavior and Strategies PDF Author: Alexey Mikhaylov
Publisher: Litres
ISBN: 5042191453
Category : Business & Economics
Languages : ru
Pages : 405

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Book Description
The relevance of research. Today, Russia belongs to countries with emerging markets. Currently, the capital market of Russia does not fulfill its main function – attracting investors’ money to finance long-term projects. Forced development of the financial market can help attract domestic long-term investments in the context of sectoral sanctions from developed countries...

Capital and Crypto Markets: Institutional Investor Behavior and Strategies

Capital and Crypto Markets: Institutional Investor Behavior and Strategies PDF Author: Alexey Mikhaylov
Publisher: Litres
ISBN: 5042191453
Category : Business & Economics
Languages : ru
Pages : 405

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Book Description
The relevance of research. Today, Russia belongs to countries with emerging markets. Currently, the capital market of Russia does not fulfill its main function – attracting investors’ money to finance long-term projects. Forced development of the financial market can help attract domestic long-term investments in the context of sectoral sanctions from developed countries...

Cryptocurrency: An Analysis From An Institutional Investors Approach

Cryptocurrency: An Analysis From An Institutional Investors Approach PDF Author: Yuen Ying Chan
Publisher:
ISBN:
Category :
Languages : en
Pages : 84

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Book Description
In Anbetracht der Ereignisse, die weltweit und speziell auf den Finanzmärkten stattgefunden haben, sollten Anleger aktiv nach alternativen Anlagen suchen, um Risiken unabhängig von den Marktbedingungen abzusichern. Glücklicherweise sind Hedgefonds ein Instrument, das dafür bekannt ist, genau das zu tun. Dieses Papier zielt darauf ab, Hedge-Fonds- Anlagestrategien aus der Perspektive eines institutionellen Anlegers in Bezug auf Kryptowährungen zu diskutieren. Darüber hinaus bietet es einen Überblick und eine Analyse über 10 Kryptowährungen (Bitcoin, Bitcoin Cash, Dash, EOS, Ethereum, Ethereum Classic, Litecoin, Monero, XRP und ZCash), da es als Leitfaden für Investoren dienen soll, um zu entscheiden, ob es eine gute Idee sein kann, in Kryptowährungen zu investieren, indem man Hedgefonds-Strategien nachahmt. Die Ergebnisse zeigen, dass durch die Nachahmung von Hedge-Fonds-Strategien eine Überschussrendite im Portfolio eines Anlegers erzielt werden kann, allerdings müssen die Anleger ein höheres Risiko tragen.*****Considering the events that have occurred throughout the world and specifically within financial markets, investors should actively seek alternative investments to hedge risks regardless of market conditions. Fortunately, hedge funds are a tool known for performing exactly that. This paper aims to discuss hedge fund investment strategies in the approach of an institutional investors perspective on cryptocurrency. Furthermore, it provides an overview and analysis on 10 cryptocurrencies (Bitcoin, Bitcoin Cash, Dash, EOS, Ethereum, Ethereum Classic, Litecoin, Monero, XRP and ZCash) as it aims to act as a guide for investors to help decide whether it may be a good idea to invest in cryptocurrency by replicating hedge fund strategies. The results show that by imitating hedge fund strategies, it could create excess return in an investors portfolio, however investors have to bear more risk.

The Investment Performance and Trading Behavior of Institutional Investors

The Investment Performance and Trading Behavior of Institutional Investors PDF Author: Christo A. Pirinsky
Publisher:
ISBN:
Category :
Languages : en
Pages : 256

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Book Description
Institutional types differ in their trading decisions - banks, insurance companies, and investment advisors are more likely to act in conformity with their peers, corporate and state pension funds are not significantly influenced by previous institutional trades, while mutual funds exhibit contrarian behavior. Institutional investors further exhibit the tendency to target market weights. The results relate to a series of theoretical findings about herding and strategic trading in capital markets.

Too Smart for Our Own Good: Ingenious Investment Strategies, Illusions of Safety, and Market Crashes

Too Smart for Our Own Good: Ingenious Investment Strategies, Illusions of Safety, and Market Crashes PDF Author: Bruce I. Jacobs
Publisher: McGraw-Hill Education
ISBN: 9781260440546
Category : Business & Economics
Languages : en
Pages : 0

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Book Description
How investment strategies designed to reduce risk can increase risk for everyone—and can crash markets and economies Financial crises are often blamed on unforeseeable events, the unforgiving nature of capital markets, or just plain bad luck. Too Smart for Our Own Good argues that these crises are caused by certain alluring investment strategies that promise both high returns and safety of capital. In other words, the severe and widespread crises we have suffered in recent decades were not perfect storms. Instead, they were made by us. By understanding how and why this is so, we may be able to avoid or ameliorate future crises—and maybe even anticipate them. One of today’s leading financial thinkers, Bruce I. Jacobs, examines recent financial crises—including the 1987 stock market crash, the 1998 collapse of the hedge fund Long-Term Capital Management, the 2007–2008 credit crisis, and the European debt crisis—and reveals the common threads that explain these market disruptions. In each case, investors in search of safety were drawn to novel strategies that were intended to reduce risk but actually magnified it—and blew up markets. Too Smart for Our Own Good takes a behind-the-curtain look at: • The inseparable nature of investment risk and reward and the often counterproductive effects of some popular approaches for reducing risk • A trading strategy known as portfolio insurance and the key role it played in the 1987 stock market crash • How option-related trading disrupted markets in the decade following the 1987 crash • Why the demise of Long-Term Capital Management in 1998 wreaked havoc on US stock and bond markets • How mortgage-backed financial products, by shifting risk from one party to another, created the credit crisis of 2007–2008 and contributed to the subsequent European debt crisis This broad, detailed investigation of financial crises is the most penetrating and objective look at the subject to date. In addition, Jacobs, an industry insider, offers invaluable insights into the nature of investment risk and reward, and how to manage risk. Risk is unavoidable—especially in investing—and financial markets connect us all. Until we accept these facts and manage risk in responsible ways, major crises will always be just around the bend. Too Smart for Our Own Good is a big step toward smarter investing—and a better financial future for everyone.

Blockchain Economics and Financial Market Innovation

Blockchain Economics and Financial Market Innovation PDF Author: Umit Hacioglu
Publisher: Springer Nature
ISBN: 3030252752
Category : Business & Economics
Languages : en
Pages : 568

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Book Description
This book discusses various aspects of blockchains in economic systems and investment strategies in crypto markets. It first addresses the topic from a conceptual and theoretical point of view, and then analyzes it from an assessment and investment angle. Further, it examines the opportunities and limitations of the taxation of crypto currency, as well as the political implications, such as regulation of speculation with crypto currencies. The book is intended for academicians and students in the fields of economics and finance.

Handbook of Research on Stock Market Investment Practices and Portfolio Management

Handbook of Research on Stock Market Investment Practices and Portfolio Management PDF Author: Sharma, Renuka
Publisher: IGI Global
ISBN: 1668455307
Category : Business & Economics
Languages : en
Pages : 496

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Book Description
For the first time since the Great Depression, financial market issues threatened to derail global economic growth. This global financial crisis forced a reconsideration of systemic vulnerabilities with knowledge of numerous investment options and portfolio management strategies becoming more critical than ever before. A complete study of investment choices and portfolio management approaches in both the developing and developed worlds is required to achieve stability and sustainability. The Handbook of Research on Stock Market Investment Practices and Portfolio Management gives a thorough view on the recent developments in investment options and portfolio management strategies in global stock markets. Learning about the many investment options and portfolio management strategies available in the event of a worldwide catastrophe is critical. Covering topics such as AI-based technical analysis, marketing theory, and sharing economy, this major reference work is an excellent resource for investors, traders, economists, business leaders and executives, marketers, students and faculty of higher education, librarians, researchers, and academicians.

Behavioral Finance and Capital Markets

Behavioral Finance and Capital Markets PDF Author: A. Szyszka
Publisher: Springer
ISBN: 113736629X
Category : Business & Economics
Languages : en
Pages : 417

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Book Description
Behavioral Finance helps investors understand unusual asset prices and empirical observations originating out of capital markets. At its core, this field of study aids investors in navigating complex psychological trappings in market behavior and making smarter investment decisions. Behavioral Finance and Capital Markets reveals the main foundations underpinning neoclassical capital market and asset pricing theory, as filtered through the lens of behavioral finance. Szyszka presents and classifies many of the dynamic arguments being made in the current literature on the topic through the use of a new, ground-breaking methodology termed: the General Behavioral Asset Pricing Model (GBM). GBM describes how asset prices are influenced by various behavioral heuristics and how these prices deviate from fundamental values due to irrational behavior on the part of investors. The connection between psychological factors responsible for irrational behavior and market pricing anomalies is featured extensively throughout the text. Alternative explanations for various theoretical and empirical market puzzles - such as the 2008 U.S. financial crisis - are also discussed in a convincing and interesting manner. The book also provides interesting insights into behavioral aspects of corporate finance.

Internet of Behaviors Implementation in Organizational Contexts

Internet of Behaviors Implementation in Organizational Contexts PDF Author: Carvalho, Luísa Cagica
Publisher: IGI Global
ISBN: 1668490412
Category : Computers
Languages : en
Pages : 494

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Book Description
Internet of behaviors (IoB), also known as the internet of behavior, emerged as a natural consequence of the internet of things (IoT) and artificial intelligence (AI). IoB is an area of investigation that compiles three fields of study: IoT, data analysis, and behavioral science. IoB seeks to explain the data obtained from a behavioral point of view, analyzing human interaction with technology and referring to the process by which user-controlled data is evaluated from a behavioral psychology perspective. Internet of Behaviors Implementation in Organizational Contexts explores internet of behaviors solutions that promote people's quality of life. This book explores and discusses, through innovative studies, case studies, systematic literature reviews, and reports. The content within this publication represents research encompassing the internet of behaviors, internet of things, big data, artificial intelligence, blockchain, smart cities, human-centric approach for digital technologies, ICT sustainability, and more. This vital reference source led by an editor with over two decades of experience is optimized for university professors, researchers, undergraduate and graduate level students, and business managers and professionals across several industries related to or utilizing the internet of things (IoT).

Handbook of Research on Decision-Making Techniques in Financial Marketing

Handbook of Research on Decision-Making Techniques in Financial Marketing PDF Author: Dinçer, Hasan
Publisher: IGI Global
ISBN: 1799825604
Category : Business & Economics
Languages : en
Pages : 646

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Book Description
Consumer needs and demands are constantly changing. Because of this, marketing science and finance have their own concepts and theoretical backgrounds for evaluating consumer-related challenges. However, examining the function of finance with a marketing discipline can help to better understand internal management processes and compete in today’s market. The Handbook of Research on Decision-Making Techniques in Financial Marketing is a collection of innovative research that integrates financial and marketing functions to make better sense of the workplace environment and business-related challenges. Different financial challenges are taken into consideration while many of them are based on marketing theories such as agency theory, product life cycle, and optimal consumer experience. While highlighting topics including behavioral financing, corporate ethics, and Islamic banking, this book is ideally designed for financiers, marketers, financial analysts, marketing strategists, researchers, policymakers, government officials, academicians, students, and industry professionals.

Insider Trading and the Stock Market

Insider Trading and the Stock Market PDF Author: Henry G. Manne
Publisher:
ISBN:
Category : Business & Economics
Languages : en
Pages : 296

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Book Description