@incollection{, 4DD6837F6424F747163CF397FB53D344 , author={{Dr. S. V. RamanaRao} and {NagendraMarisetty} and {B. LohithKumar}}, journal={{Global Journal of Management and Business Research}}, journal={{GJMBR}}2249-45880975-585310.34257/GJMBR, address={Cambridge, United States}, publisher={Global Journals Organisation}21121322 } @incollection{b0, , title={{A factor analysis of international portfolio diversification}} , author={{ AbbasValadkhani }} 10.1108/108673708108946 , journal={{Studies in Economics and Finance}} 25 3 , year={2008} } @incollection{b1, , title={{Comovements and Stock Market Integration between India and its top trading partners: A Multivariate analysis of International Portfolio Diversification}} , author={{ AlanHarper } and { ZhenhuJin }} , journal={{International Journal of Business and Social Science}} 3 3 , year={2012. Feb 2012} } @incollection{b2, , title={{How Homogeneous are the Stock Markets of the Middle East and North Africa?}} , author={{ JorgBley }} , journal={{Quarterly Journal of Business & Economics}} 46 3 , year={2007} } @incollection{b3, , title={{International stock market integration and its economic determinants: A study of Indian and World equity markets}} , author={{ KedarnathMukharjee } and { Rk Mishra }} , journal={{Vikalpa}} 32 4 , year={2007. October -December 2007} } @book{b4, , title={{Forecasting Integrated Stock Markets Using International Co-Movements Russian and East European Finance and Trade}} , author={{ KivilcimMetin } and { GulnurMuradoglu }} , year={2001. September-October 2001} 37 } @book{b5, , title={{Cointegration of Major Stock Market Indices during the}} , author={{ AssidenouKomlavi Elubueni }} , year={2011. 2008} } @incollection{b6, , title={{Global Financial Distress}} , journal={{International Journal of Economics and Finance}} 3 2 , year={May 201} } @incollection{b7, , title={{A review on international portfolio diversification in Middle East and North African region}} , author={{ GMansourfar } and { AMohamad } and { THassan }} , journal={{African Journal of Business Management}} 4 19 , year={2010} } @incollection{b8, , title={{The Co-Movements of the Regional Stock Markets and Some Implications on Risk Diversification}} , author={{ MaranMarimuthu }} , journal={{The IUP Journal of Applied Economics}} IX 2 , year={2010} } @book{b9, , title={{Liberalization and Stock Market Co-Movement Between Emerging Markets, CESIFO Working Paper No. 2131category 6: Monetary Policy and International Finance}} , author={{ MichelBeine } and { BertrandCandelon }} , year={2007. October 2007} } @incollection{b10, , title={{Comovement of international equity markets: A taxonomic approach}} , author={{ DBPanton } and { PLessig } and { JoyOm }} , journal={{Journal of Financial and Quantitative Analysis}} 11 3 , year={1976} } @incollection{b11, , title={{Asian emerging economies and united states of America: Do they offer a diversification benefit?}} , author={{ PreetiSharma }} , journal={{Australian Journal of Business and Management Research}} 1 4 , year={2011} } @book{b12, , title={{Co-movements among National Stock Markets in a Region: A Comparison of Asia and Europe}} , author={{ RajeshChakrabarti }} } @incollection{b13, , title={{International Portfolio Diversification Benefits for Middle Eastern Investors}} , author={{ RazanSalem } and { AlThair } and { OhoudShaher } and { Khasawneh }} , booktitle={{Journal of Money, Investment and Banking}} , year={2011} } @incollection{b14, , title={{Co-Movement and Integration Among Stock Markets: A Study of 14 Countries}} , author={{ RiteshPatel }} 10.17010/ijf/2017/v11i9/118089 , journal={{Indian Journal of Finance}} 11 9 , year={2017. September 2017} } @incollection{b15, , title={{Co-Movements in International Equity Markets}} , author={{ MSalim } and { ParthaDarbar } and { Deb }} , journal={{The Journal of Financial Research}} 3 , year={1997} } @incollection{b16, , author={{ SearatAli } and { ZaheerBabar } and { Butt } and { Kashif Ur Rehman }} , booktitle={{Comovement Between Emerging and Developed Stock Markets: An Investigation Through Cointegration Analysis}} , year={2011} 12 } @incollection{b17, , title={{Linkages Between the Malaysian Stock Market and Some Selected Markets}} , author={{ ShaistaWasiuzzaman } and { AiLim } and { Li }} , journal={{The ICFAI University Journal of Financial Economics}} VII 1 , year={2009. 2009} } @incollection{b18, , title={{Portfolio diversification: a factor analysis approach}} , author={{ Tak-KeeHui }} , journal={{Applied Financial Economics}} 15 , year={2005} } @incollection{b19, , title={{The co-movement of stock prices, herd behaviour and high-tech mania}} , author={{ Wen- } and { ChungGuoa } and { Hsiu-TingShihb }} , journal={{Applied Financial Economics}} 18 , year={2008} }