Keyphrases
Adjustment Dynamics
30%
Alpha Ratio
21%
Asset Management
60%
Asset Management Industry
60%
Banking
20%
Career Change
9%
Cointegration
45%
Cointegration Analysis
7%
Cointegration Relationship
37%
Competitive Environment
9%
Crisis Period
22%
Debt Ratio
6%
Debt to Equity
6%
Developed Countries
7%
Developed Markets
15%
Development Area
9%
Diversification Benefits
7%
Dynamic Cointegration
30%
Earnings per Share
18%
EBITDA
18%
Equal Part
7%
European Debt Crisis
30%
Excess Returns
15%
Excess Risk
15%
Feature Prior
7%
Feedback Effect
7%
Financial Advisory
9%
Financial Instruments
9%
Financial Literacy
9%
Financial Markets
15%
Financial Ratios
30%
Fund Category
15%
Fund Management
21%
Fund Managers
6%
Fund Performance
21%
Global Cointegration
15%
Global Financial Crisis
15%
High Risk
6%
Higher Returns
12%
Human Resource Policy
6%
Individual Pension System
9%
Individual Performance
9%
Industry Professionals
9%
Institutional Investors
9%
Integration Score
15%
Investment Goals
15%
Istanbul
12%
Istanbul Stock Exchange
12%
Jensen's alpha
21%
Local Level
15%
Management Culture
9%
Managerial Perspective
30%
Margin Ratios
6%
Mixed-effects Model
12%
Mutual Funds
60%
Negative Reactivity
7%
New Fund
15%
Omega Ratio
21%
Pension Funds
60%
Performance Evaluation
30%
Performance Measurement
15%
Performance Measures
15%
Performance Persistence
30%
Performance-based
9%
Persistence Rate
18%
Portfolio Management
9%
Portfolio Managers
30%
Positive Discrimination
9%
Positive Impact
15%
Post-global
15%
Real Estate Investment Trusts
15%
REIT Market
60%
Retail Sector
12%
Retailers
6%
Risk-adjusted Performance
36%
Risk-adjusted Returns
33%
Sales Ratio
12%
Score Analysis
15%
Shareholders
6%
Shock
15%
Shoplifting
30%
Shopping Mall
30%
Short-term Interest Rate
30%
Skill Ratio
12%
Sortino Ratio
21%
Sources of Economic Growth
15%
Stock Market
60%
Stock Market Volatility
30%
Stock Returns
30%
Structural Breaks
7%
Technology Sector
6%
Telecommunication Companies
6%
Telecommunications
30%
Term Premium
15%
Treynor
21%
Turkey
100%
Twin Crisis
7%
Two-component
15%
US Stock Market
30%
Yield Spread
30%
Economics, Econometrics and Finance
Capital Market Returns
30%
Debt Crisis
30%
Emerging Economies
69%
Financial Crisis
15%
Financial Instrument
5%
Financial Market
9%
Financial Ratio
30%
Human Resources
15%
Industrialized Countries
15%
Institutional Investor
5%
Interest Rate
30%
Investment Decision
15%
Investors
45%
Occupational Change
5%
Panel Data Analysis
6%
Performance Measurement
9%
Portfolio Selection
5%
Price
18%
Real Estate Investment
15%
Resource Policy
15%
Retail and Wholesale Occupations
15%
Retail Sector
30%
Specific Industry
75%
Stock Exchange
12%
Volatility
30%
Yield Curve
30%