Project / Advanced Financial Management 101/
Fall Semester 2021/2022
Weight: 20%
Mohamed Boukhris, PhD, CFA
Please read carefully the instructions below before starting:
Every student has been assigned a published paper to read and to summarize. You can find the paper on internet. So download the paper, read it, and write a summary report.
You must write at least 5 pages of summary.
The report must me handwritten; otherwise, no grade will be given.
You are required to bring the report with you on the presentation day. The presentations will start immediately after the midterm break.
If you have any additional inquiries, you can ask me.
Find below the assigned papers !!!
Student Name
ID
Signature
1
A Albuainain, Mohammed H.
201700573
Returns to Buying Winners and Selling Losers: Implications for Stock Market Efficiency
Published: 3/1993, Volume: 48, Issue: 1
NARASIMHAN JEGADEESH, SHERIDAN TITMAN
2
A Alsoghair, Faisal F.
201800182
THE PERFORMANCE OF MUTUAL FUNDS IN THE PERIOD 1945-1964
Published: 5/1968, Volume: 23, Issue: 2 |
Michael C. Jensen
3
A Alzamil, Abdulmalek H.
201501207
Have Individual Stocks Become More Volatile? An Empirical Exploration of Idiosyncratic Risk
Published: 2/2001, Volume: 56, Issue: 1 |
John Y. Campbell, Martin Lettau, Burton G. Malkiel, Yexiao Xu
4
A Bugshan, Abdulaziz A.
201801952
Investor Psychology and Security Market Under- and Overreactions
Published: 12/1998, Volume: 53, Issue:6
Kent Daniel, David Hirshleifer, Avanidhar Subrahmanyam
5
F Aljowaiser, Firas Y.
201902001
RISK, UNCERTAINTY, AND DIVERGENCE OF OPINION
Published: 9/1977, Volume: 32, Issue: 4 |
Edward M. Miller
6
H Aljehani, Muatasem M.
201800394
Returns to Buying Winners and Selling Losers: Implications for Stock Market Efficiency
Published: 3/1993, Volume: 48, Issue: 1
NARASIMHAN JEGADEESH, SHERIDAN TITMAN
7
H Almulla, Zaki A.
201801521
The Limits of Arbitrage
Published: 3/1997, Volume: 52, Issue: 1 |
Andrei Shleifer, Robert W. Vishny
8
K Aldossary, Abdulrahman M.
201700574
RISK, UNCERTAINTY, AND DIVERGENCE OF OPINION
Published: 9/1977, Volume: 32, Issue: 4 |
Edward M. Miller
9
M Abualfaraj, Mohammad S.
201600440
THE PERFORMANCE OF MUTUAL FUNDS IN THE PERIOD 1945-1964
Published: 5/1968, Volume: 23, Issue: 2 |
Michael C. Jensen
10
M Alabdulmohsin, Mohammed N.
201800127
Have Individual Stocks Become More Volatile? An Empirical Exploration of Idiosyncratic Risk
Published: 2/2001, Volume: 56, Issue: 1 |
John Y. Campbell, Martin Lettau, Burton G. Malkiel, Yexiao Xu
11
M Alkhuzayem, Naif M.
201700608
Investor Psychology and Security Market Under- and Overreactions
Published: 12/1998, Volume: 53, Issue:6
Kent Daniel, David Hirshleifer, Avanidhar Subrahmanyam
12
M Alshammari, Faris A.
201502958
RISK, UNCERTAINTY, AND DIVERGENCE OF OPINION
Published: 9/1977, Volume: 32, Issue: 4 |
Edward M. Miller
13
N Alqusair, Abdullah Y.
201801710
Multifactor Explanations of Asset Pricing Anomalies
Published: 3/1996, Volume: 51, Issue: 1 |
EUGENE F. FAMA, KENNETH R. FRENCH
14
S Alamoudi, Saeed A.
201600557
Investor Sentiment and the Cross-Section of Stock Returns
Published: 8/2006, Volume: 61, Issue: 4 |
MALCOLM BAKER, JEFFREY WURGLER
15
S Alghamdi, Thamer M.
201600405
The Cross-Section of Expected Stock Returns
Published: 6/1992, Volume: 47, Issue: 2
EUGENE F. FAMA, KENNETH R. FRENCH
16
S AlKhaldi, Faisal M.
201800106
CAPITAL ASSET PRICES: A THEORY OF MARKET EQUILIBRIUM UNDER CONDITIONS OF RISK
Published: 9/1964, Volume: 19, Issue: 3 |
William F. Sharpe
17
S Alnahdi, Salmeen M.
201802006
Investor Psychology and Security Market Under- and Overreactions
Published: 12/1998, Volume: 53, Issue:6
Kent Daniel, David Hirshleifer, Avanidhar Subrahmanyam
18
S Alsunaidi, Mohammed A.
201800171
Are Investors Reluctant to Realize Their Losses?
Published: 10/1998, Volume: 53, Issue: 5 |
Terrance Odean
3