Abstract:The main objective of this research is to construct hypothetical value and growth portfolios and compare their performance on Bursa Malaysia over the examination period from 1 January 2006 to 1 January 2020 (168 months). This research also analyses whether there are differences in the performance between value and growth stocks in different sizes of the issuing company. Risk and return characteristics, risk-adjusted return, and the sample paired t-test are examples of statistical tests used in this research. T… Show more
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