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  • The current study hypothesized the investor behaviors with stock market fundamental analysis. Thus, the study used convinance and simple random sampling for data acquisition and study has used descriptive, correlation regression and combined effect t tests to interpret the data. And have concluded that facets of investor behavior i-e overconfidence, optimism, involvement and risk behavior has significant relation with stock market fundamental analysis. Hence, study concluded its finding up to historic investigations. (xsd:string)
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?:dateModified
  • 2015 (xsd:gyear)
?:datePublished
  • 2015 (xsd:gyear)
?:doi
  • www.scipress.com/ILSHS.59.85 ()
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  • true (xsd:boolean)
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  • en (xsd:string)
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?:issn
  • 2300-2697 ()
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  • 59 (xsd:string)
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  • Investor behavior & fundamental analysis: a case of Karachi stock exchange investor's (xsd:string)
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  • Zeitschriftenartikel (xsd:string)
  • journal_article (en)
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  • GESIS-SSOAR (xsd:string)
  • In: International Letters of Social and Humanistic Sciences, 2015, 59, 85-88 (xsd:string)
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