The correlation between risk and return of Canadian mutual funds based on VAR

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dc.contributor.advisor Dodds, J. C. (James Colin)
dc.coverage.spatial Canada
dc.creator Zhang, Nuozhou
dc.date.accessioned 2012-10-04T16:00:27Z
dc.date.available 2012-10-04T16:00:27Z
dc.date.issued 2012
dc.identifier.uri http://library2.smu.ca/xmlui/handle/01/24708
dc.description 1 online resource (iii, 147 leaves)
dc.description Includes abstract and appendix.
dc.description Includes bibliographical references (leaves 21-23).
dc.description.abstract This paper uses VAR to measure the risk of Canadian mutual funds and to determine the correlation between the risk. And I built two equations to do the analysis. I use Equation 3.2 to expose the correlation between the return and the potential loss of mutual funds which can be illustrated on the coefficient [beta][subscript 1]. This equation will also expose whether the previous risk still has influence on the mutual fund returns, what the correlations are, and how long this influence will last. This information will illustrated on the coefficient [beta][subscript 2], [beta][subscript 3] and [beta][subscript 4]. In Equation 3.3, the coefficient [beta][subscript 1] will illustrate the risk of the mutual fund and which kind of risk management can improve the mutual fund returns. en_CA
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dc.language.iso en en_CA
dc.publisher Halifax, N.S. : Saint Mary's University
dc.title The correlation between risk and return of Canadian mutual funds based on VAR en_CA
dc.type Text en_CA
thesis.degree.name Master of Finance
thesis.degree.level Masters
thesis.degree.discipline Finance, Information Systems, & Management Science
thesis.degree.grantor Saint Mary's University (Halifax, N.S.)
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