Financial Crises and the Success of Global Portfolio Management: A Study of the Middle East and North Africa

Abstract

Our principal objective is to implement a conditional CAPM that, in addition to the global market risk, specifies the level of market integration, evaluates exchange rate risk, and accounts for local market risk. To investigate the potential for portfolio diversification for foreign investors in this region by examining the impact of financial crises on the evolution of national markets in the MENA region's financial integration with the global market as well as with the three selected developed markets, namely France, Great Britain, and the United State. In order to test a conditional version of De Santis and Gerard's ICAPM by admitting a specification of a multivariate GARCH process, this line of research has used a particular methodology (MGARCH).

Authors and Affiliations

Dr. Fatma Khalfallah

Keywords

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  • EP ID EP721138
  • DOI 10.47191/ijmra/v6-i9-32
  • Views 26
  • Downloads 0

How To Cite

Dr. Fatma Khalfallah (2023). Financial Crises and the Success of Global Portfolio Management: A Study of the Middle East and North Africa. International Journal of Multidisciplinary Research and Analysis, 6(09), -. https://europub.co.uk/articles/-A-721138