Table of stock market returns
[DOC File]Serial Correlation of Stock Returns to the Level of Volume:
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This paper examines the relationship between aggregate stock market trading volume and serial correlation of daily stock returns during December 1991 to December 2001. The results show that the non-informational trade has a significant effect on prices and trading activity in addition to present returns, non-linear volume, and volatility.
[DOC File]Market Performance - Transportation
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Table 4 lists each package company’s beginning and year end market capitalization and cumulative returns. Figure 5 graphically shows these returns over the year. A cursory look at Table 4 shows that CD&L Inc saw a substantial cumulative return in 2005 of nearly 92 percent.
[DOC File]Risk and Return
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k. The beta coefficient is a measure of a stock’s market risk, or the extent to which the returns on a given stock move with the stock market. The average stock’s beta would move on average with the market so it would have a beta of 1.0. l.
[DOCX File]Table of Figures - Virginia Tech
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Stock Returns. An Analysis of Case Studies and Twitter Analysis to Predict Stock Prices . CS 4624: Multimedia, Hypertext, and Information Access ... Table of Contents. Table of Figures. 2. Table of Tables. 3. Executive Summary. 4. Introduction. 5. Requirements. 5. Roles. 6. ... An example of a list of keywords with stock ticker: Figure 6: CAR ...
[DOC File]Chapter 2
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C. Stock B is riskier since its standard deviation of returns is higher. It is a more volatile stock and thus should offer greater expected return. D. Two thirds of the time, returns should be within +/- 1 standard deviation of the expected return. Thus for stock A, the range is 5.75% +/- 6.42% or between –.67 and 12.17%.
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