How can investors and market participants navigate the presence of anomalies and the potential for abnormal returns while managing associated risks effectively?  Are there specific strategies or approaches that you find particularly effective in this content  ?

Financial Reporting, Financial Statement Analysis and Valuation
8th Edition
ISBN:9781285190907
Author:James M. Wahlen, Stephen P. Baginski, Mark Bradshaw
Publisher:James M. Wahlen, Stephen P. Baginski, Mark Bradshaw
Chapter11: Risk-adjusted Expected Rates Of Return And The Dividends Valuation Approach
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How can investors and market participants navigate the presence of anomalies and the potential for abnormal returns while managing associated risks effectively?  Are there specific strategies or approaches that you find particularly effective in this content  ?

 

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