Search Results - "Investment manager"

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  1. A fraud auditing approach for the regulator to detect investment fraud schemes

    Published 2013
    Subjects: “…Investment manager…”
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  2. The existence and behaviour of style anomalies in the global equity market : a univariate and multivariate analysis by Baars, Monique

    Published 2015
    Subjects: “…Investment Management…”
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  3. Trading statement releases and the subsequent price formation process : evidence from the JSE by Cata, Olwethu

    Published 2015
    Subjects: “…Investment Management…”
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  4. Using the classification and regression tree (CART) model for stock selection on the S&P 700 by Pienaar, Neil Deon

    Published 2016
    Subjects: “…Investment Management…”
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  5. Cross-sectional and time-series momentum on the JSE by Lockhart-Ross, Simon

    Published 2016
    Subjects: “…Investment Management…”
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  6. Long term portfolio construction by Musilika, Oskar

    Published 2016
    Subjects: “…Investment Management…”
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  7. Factor-based replication of hedge funds using a state space model by Noakes, Michael A

    Published 2016
    Subjects: “…Investment Management…”
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  8. Testing a price breakout strategy using Donchian Channels by Swart, Justin-Niall

    Published 2016
    Subjects: “…Investment Management…”
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  9. The effect of FED's quantitative easing policy on listed companies and sectors in South Africa by Chacha, Terry

    Published 2017
    Subjects: “…Investment Management…”
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  10. Time diversification and holding periods on the Johannesburg Stock Exchange by Panday, Akshay Kumar

    Published 2017
    Subjects: “…Investment Management…”
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  11. An investigation of empirical properties of South African bonds by Mate, Janet

    Published 2017
    Subjects: “…Investment Management…”
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  12. The Inflation hedging properties of South African asset classes by Stefan, Donovan

    Published 2017
    Subjects: “…Investment Management…”
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  13. The relationship between various risk factors and the cost of equity premium implied by analysts' forecasts on the New York Stock Exchange by Goussard, Heleen

    Published 2018
    Subjects: “…Investment Management…”
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  14. Portfolio diversification utilising rolling economic drawdown constraints and risk factor analysis by Mills, Bradley

    Published 2019
    Subjects: “…Investment Management…”
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  15. South African General Equity Unit Trust Funds:Fund Performance and Characteristics by Pardoe, Liam

    Published 2019
    Subjects: “…Investment Management…”
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  16. An Investigation of the Impact of the 2008 Financial Crisis and Stock Market Automation on Market Efficiency: A Case for the Botswana Stock Exchange by Ambalal, Ritesh Girishkumar

    Published 2019
    Subjects: “…Investment Management…”
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  17. An investigation into the use of multiple cryptocurrencies in a diversified portfolio by Kibble, Alexander

    Published 2019
    Subjects: “…Investment Management…”
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  18. An investigation into higher and partial moment portfolio selection frameworks by Polden, Stuart John

    Published 2020
    Subjects: “…Investment Management…”
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  19. The long-run share price performance resulting from mergers & acquisitions in South Africa: a calendar-time approach by Lumala, Arnold

    Published 2020
    Subjects: “…Investment Management…”
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  20. The Determinants of the Financial Performance of Insurance Companies in Mauritius by Appiah, Emelia

    Published 2020
    Subjects: “…Investment Management…”
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