Papers

WEEK 13 

Note: Paper 1 should be fully covered in your summary. Only last section of the Paper 2 (or you may cover the full paper) should be covered.  

Paper 1: The genesis of the 2008 global financial crisis and challenges to the neoclassical paradigm of finance  Download

Paper 2: The Credit Crunch of 2007: What Went Wrong? Why? What Lessons Can Be Learned? Download

WEEK 12

Survey of Behavioural Finance  Download

WEEK 11

Calendar anomalies in the Gulf Cooperation Council stock markets  Download

WEEK 10

The Most Common Errors in Valuation Methods  Download

WEEK 9

Do Industries Lead the Market  Download

WEEK 8

International Comparison of Capital Structure and Debt Maturity Structure  Download

WEEK 7 

Capital Structure in Developing Countries? Download

WEEK 6 

Investors’ Power and the Dividend Cost Minimization Model: Which One Better Explains the Dividend Policy in Pakistan? Download

WEEK 5

Revisiting the Dividend Puzzle: a Review [Download]

WEEK 4

  Sheilifer and vishny, 1997 A Survey of Corporate Governance.pdf972k View Download  

Week 3

  Summary of Empirical Evidence on Stock Market Predictability [ For Bonus 1 Mark ]

Petingal :View  Download

The Conditional Relationship between Beta and Returns

   Week 1 and 2 

The Cross Section of Expected Return (Fama and French 1992) View  Download

 

Thirty Unanswered Areas in Finance