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The Impact of Investment Manager Expertise on Mutual Fund Performance in Indonesian Dynamic Market Conditions | ||
Iranian Economic Review | ||
مقالات آماده انتشار، پذیرفته شده، انتشار آنلاین از تاریخ 07 خرداد 1403 | ||
نوع مقاله: Research Paper | ||
شناسه دیجیتال (DOI): 10.22059/ier.2024.373631.1007962 | ||
نویسندگان | ||
Alfi Syahri* ؛ Irene Rini Demi Pangestuti | ||
Faculty of Economics and Business, Diponegoro University, Semarang, Indonesia | ||
چکیده | ||
This study investigates the performance of 29 equity mutual funds in Indonesia, with a focus on the influence of investment manager expertise and market conditions. Using primary data sourced from Infovesta, we uncover a significant relationship between market conditions and fund performance. Our analysis reveals a statistically significant probability of changes in market conditions, with a calculated probability of 0.000, indicating a rare occurrence, less than 5% of the time. The coefficient value of 1.563714 further strengthens this relationship, indicating a substantial impact of market conditions on fund performance and supporting the acceptance of our third hypothesis. We find that bullish and bearish market conditions, representing rising and declining stock markets respectively, have a profound effect on equity mutual fund performance. Specifically, during bullish phases, fund performance improves, while in bearish market conditions, it declines. These results highlight the complex interplay between market dynamics and fund performance, underscoring the importance of skilled management in navigating market fluctuations effectively. Our findings contribute to the refinement of investment strategies, offering insights for achieving enhanced performance in dynamic market environments and advancing the discourse on effective portfolio management strategies. | ||
کلیدواژهها | ||
Market timing skill؛ Mutual Fund؛ Market sentiment؛ Mutual Fund Performance؛ Stock Selection | ||
آمار تعداد مشاهده مقاله: 181 |