Petrushchak, Bohdan (2011): Календарні закономірності розподілу дохідності та волатильності на українському фондовому ринку. Published in: Матеріали ІХ Міжнародної науково-практичної конференції студентів, аспірантів та молодих вчених "Шевченківська весна 2011" , Vol. 1, No. 9 (April 2011): pp. 280-282.
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The theoretical aspects of calendar effects and anomalies on the Ukrainian stock market and the empirical evidences of monthly returns and volatility of PFTS-index are examined. A strong evidence of a calendar effect i.e. December effect on Ukrainian PFTS exchange was found. It can be explained due to the cyclical character of some industries, cyclical shares, calendar character of exchange rate fluctuations and self-fulfilling prophecies of investors.
| Item Type: | MPRA Paper |
|---|---|
| English Title: | The calendar regularity of earnings and volatility distribution on the Ukrainian stock market |
| Language: | Ukrainian |
| Keywords: | Calendar effects; December effect; stock market anomalies; volatility and rate of return of PFTS-Index; self-fulfilling prophecies; cyclical shares; Календарні ефекти та аномалії фондового ринку; ефект Грудня; дохідність та волатильність індексу ПФТС; передбаченння, які самореалізуються; циклічні акції; |
| Subjects: | G - Financial Economics > G1 - General Financial Markets > G14 - Information and Market Efficiency; Event Studies D - Microeconomics > D8 - Information, Knowledge, and Uncertainty > D84 - Expectations; Speculations G - Financial Economics > G1 - General Financial Markets > G11 - Portfolio Choice; Investment Decisions G - Financial Economics > G1 - General Financial Markets > G15 - International Financial Markets G - Financial Economics > G0 - General > G00 - General |
| ID Code: | 30367 |
| Deposited By: | Bohdan Petrushchak |
| Deposited On: | 19. Apr 2011 16:40 |
| Last Modified: | 19. Apr 2011 16:40 |
| References: | Hubbard R.G. Money, the Financial System, and the Economy. – Addison-Wesley Publishing Company, 4th ed. – 2002. – P.640. Bestmann U. Finanzlexikon. – München: Vahlen, 1989. – 2., völlig neubearb. und erw. Aufl. – S.315. Merk G. Begriffserläuterungen aus der Finanzwelt. – S.945. // www.uni-siegen.de. Steiner M., Bruns Ch. Wertpapiermanagement. – 4., überarbeitete und ergänzte Aufl. – Stuttgart: Schäfer-Poeschel, 1995. – S.510. |
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