Results 31 to 40 of about 4,157 (196)

Ambiguity towards Multiple Historical Performance Information Signals: Evidence from Indonesian Open-Ended Mutual Fund Investors

open access: yesIndonesian Capital Market Review, 2015
This study focuses on the behavior of open-ended mutual fund investors when encountered with multiple information signals of mutual fund’s historical performance.
Haris Pratama Loeis, Ruslan Prijadi
doaj   +1 more source

Does Herding and Anti-Herding Reflect Portfolio Managers’ Abilities in Emerging Markets?

open access: yesMathematics
This study investigates the relationship between herding behaviors and the abilities of Chinese mutual fund managers. Adapting existing methodologies to suit the low information disclosure environment of the Chinese market, we measure herding behaviors ...
Dachen Sheng, Heather A. Montgomery
doaj   +1 more source

Gold, platinum, and mutual fund flows

open access: yesJournal of Empirical Finance
Huang and Kilic (2019) demonstrate that gold to platinum price ratio (GP), which proxies for tail risk in the economy, is a priced risk factor in the cross-section of stock returns. We document that GP negatively affects the mutual fund flows of the active equity funds.
Ali K. Malik   +2 more
openaire   +2 more sources

Seasonality In Mutual Fund Flows

open access: yesJournal of Applied Business Research (JABR), 2015
<p>In this paper I establish the presence of seasonality in cash flows to U.S. domestic mutual funds. January is the month with the highest net cash flows to equity funds and December is the month with the lowest net cash flows. The large net flows in January are attributed to increased purchases, and the small net flows in December are due to ...
openaire   +2 more sources

The Evolution of Non-Banking Financial Markets in Hungary: The Case of Mutual Funds

open access: yesManagement Dynamics in the Knowledge Economy, 2016
The non-banking sector has an important place in financial markets. Therefore, the performance of financial markets can be looked at in different countries by analyzing the evolution of mutual funds, in terms of their inflows and outflows.
Luminiţa NICOLESCU   +1 more
doaj  

Investor Behavior in Hedged Mutual Funds: Evidence on Risk Chasing and Misallocation

open access: yesApplied Finance Letters
Hedged mutual funds (HMFs), employing hedge-fund-like strategies such as leverage, short-selling, and derivatives, have become a significant segment of the U.S. fund industry.
Hasan Zafer Yuksel   +2 more
doaj   +1 more source

The Flow–Performance Relationship and Behavioral Biases: Evidence from Spanish Mutual Fund Flows

open access: yesRisks
This study analyzes the relationship between stock market returns and investment flows in investment funds in Spain. Through a quantitative analysis covering the period from December 2001 to June 2025, it examines not only the existence of a correlation ...
Carlos Arenas-Laorga   +1 more
doaj   +1 more source

Investor Sentiment in Japanese and U.S. Daily Mutual Fund Flows [PDF]

open access: yes
We find evidence that is consistent with the hypothesis that daily mutual fund flows may be instruments for investor sentiment about the stock market. We use this finding to construct a new index of investor sentiment, and validate this index using data ...
Noriyoshi Shirishi   +4 more
core  

Nonlinear diachronic effects between stock returns and mutual fund flows: Additional empirical evidence from the Athens Stocks Exchange [PDF]

open access: yes
This short paper examines the nonlinear interaction between mutual fund flows and stock returns in Greece. We investigate the possibility of a nonlinear causality mechanism through which mutual funds flows may affect stock returns and vice versa.
Eleni Thanou Thanou, Dikaios Tserkezos
core  

Sustainable investment strategies in a pandemic: a comparative study of Islamic and conventional mutual funds in Malaysia

open access: yesDiscover Sustainability
The goal of work is to analyze the differences and similarities in the money flows of Islamic (IMF) and conventional mutual funds (CMF) throughout two intense events: the global financial crisis (GFC), and the COVID-19 pandemic.
Haider Mohammed Baniata   +6 more
doaj   +1 more source

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