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Open-end investment funds in Croatia

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  • Bojan Moric Milovanovic

    (Graduate School Of Economics And Business, Zagreb)

  • Fran Galetic
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    Abstract

    This work discusses investment funds in Croatia, with a particular emphasis on openend investment funds. After a short review of the development of the funds, the perception of the funds is analysed, as are the trends in total assets and in average yields. The degree of concentration of open-end investment funds is shown with statistical measures of concentration (the Gini Coefficient, the Lorenz Curve and concentration ratios). All these indicators show that the concentration is moderate to strong. The greatest yields are given by the equity funds, but these are also the most risky.

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    File URL: http://www.ijf.hr/eng/FTP/2006/1/moric-galetic.pdf
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    Bibliographic Info

    Article provided by Institute of Public Finance in its journal Financial Theory and Practice.

    Volume (Year): 30 (2006)
    Issue (Month): 1 ()
    Pages: 77-90

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    Handle: RePEc:ipf:finteo:v:30:y:2006:i:1:p:77-90

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    Related research

    Keywords: investment funds; open-end investment funds; bond fund; equity fund; mixed fund; money fund; Gini coefficient; Lorenz curve; Croatia;

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    Cited by:
    1. Darko Tipurić & Mirjana Pejić Bach, 2009. "Changes in Industrial Concentration in the Croatian Economy (1995-2006)," EFZG Working Papers Series 0903, Faculty of Economics and Business, University of Zagreb.

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