The performance of tilting strategies for the Toronto stock exchange 300 composite index
This research explores the performance of tilting strategies for the Toronto Stock Exchange 300 Composite Index during the period from February 1982 to December 1996. The emphasis is to create a rebalanced or tilted portfolio that has a significantly higher reward-to-risk ratio than the Toronto Stoc...
Main Author: | Murray, John Garrett |
---|---|
Format: | Others |
Published: |
2000
|
Online Access: | http://spectrum.library.concordia.ca/1165/1/MQ54306.pdf Murray, John Garrett <http://spectrum.library.concordia.ca/view/creators/Murray=3AJohn_Garrett=3A=3A.html> (2000) The performance of tilting strategies for the Toronto stock exchange 300 composite index. Masters thesis, Concordia University. |
Similar Items
-
The influence of NASDAQ stock exchange on Toronto stock index during the U.S. subprime mortgage crisis
by: Claudia Mendoza, et al.
Published: (2010) -
The impact of new issue of equity warrants on the Toronto Stock Exchange listed stocks
by: Jeddi, Mohamed Ali
Published: (2004) -
Testing a mean reversion hypothesis on the Toronto stock exchange
by: Williams-Short, Rowan Peter
Published: (2010) -
International interlisting : a study of firms listed on the Toronto Stock Exchange and major U.S. stock exchanges
by: Dow, Sandra Marguerite
Published: (1987) -
A study of the daily price changes of selected stocks listed on the Toronto Stock Exchange
by: Hill, S. R.
Published: (2011)