The Mutual Fund Performance, Before, During, and After the Financial Crisis: Evidence from GCC Region

dc.Location2020 HG 1601 H36
dc.SupervisorProfessor Husam-Aldin Al-Malkawi
dc.contributor.authorHamdan, Rana
dc.date.accessioned2020-06-25T11:36:36Z
dc.date.available2020-06-25T11:36:36Z
dc.date.issued2020-06
dc.description.abstractMutual fund is a pool of the investors’ money who share a common financial goal. Mutual fund offers an opportunity to invest in diversified, professionally managed basket of financial assets. Risk and performance assessment is a vital interest for investors as it offers optimal risk adjusted returns to investors, this is also an important area for mutual funds managers to use the information to make their investment decisions. This makes the risk and performance an attractive area for the researchers. This study aims to analyze the performance of Saudi Arabia open-end fund. A sample of 12 equity mutual funds is used in this study during the period January 2000 to December 2018. The analysis over the 18 years included an important financial event which is the global financial crisis, therefore, the study investigates the impact of global financial crisis on the performance of the mutual funds. The study employs the most important and widely used risk adjusted performance measures including Sharpe ratio, Treynor ratio, Jensen Alpha, M2 and information ratio. The result shows that few funds had outperformed the market, while the rest had underperformed during the study period. Some funds could not been able to beat the risk-free rate. On average the funds had returned lower than the expected return from CAMP. Some managers could manage the fund probably during the three period and led their funds to pass through the economic crisis with minimal losses.en_US
dc.identifier.other20173015
dc.identifier.urihttps://bspace.buid.ac.ae/handle/1234/1614
dc.language.isoenen_US
dc.publisherThe British University of Dubai (BUiD)en_US
dc.subjectmutual funden_US
dc.subjectglobal financial crisisen_US
dc.subjectrisk-adjusted measuresen_US
dc.subjectSaudi Arabiaen_US
dc.subjectOLS regressionen_US
dc.titleThe Mutual Fund Performance, Before, During, and After the Financial Crisis: Evidence from GCC Regionen_US
dc.title.alternativeتقييم أداء الصناديق الاستثمارية، قبل الأزمة المالية وأثناءها وبعدها: دليل من دول مجلس التعاون الخليجيen_US
dc.typeDissertationen_US
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