Indonesia bank stock returns sensitivity to changes in macroeconomic variables / Nur Jamalina Leha@Lokman
The purpose of this research is to determine the significant relationship between macroeconomic variables and the bank stock returns in Indonesia. The researcher will use Indonesia Bank Stock Returns as the main indicator for dependent variables and the macroeconomic variables comprises of composite...
Saved in:
Main Author: | Leha@Lokman, Nur Jamalina |
---|---|
Format: | Thesis |
Language: | English |
Published: |
2021
|
Subjects: | |
Online Access: | https://ir.uitm.edu.my/id/eprint/62252/2/62252.pdf |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
The impact of macroeconomic variable, trading volume and commodity price on stock market returns. (A study in Malaysia)/ Muhammad Arsyad Kamarudin
by: Kamarudin, Muhammad Arsyad
Published: (2017) -
Macroeconomic variables affect stock market Malaysia / Nurul Aini Ahmad Shukri
by: Ahmad Shukri, Nurul Aini
Published: (2017) -
The determinants of macroeconomic factors on Indonesia stock market performance / Nadiah Farihin Mohd Samri
by: Mohd Samri, Nadiah Farihin
Published: (2022) -
The determinants of stock market performance: evidence from Malaysia/ Siti Nur Syazwani Azmi
by: Azmi, Siti Nur Syazwani
Published: (2018) -
Empirical analysis on macroeconomic variables and oil price in Malaysia / Wan Damia Aisyah Wan Mohamad Tajeri
by: Wan Mohamad Tajeri, Wan Damia Aisyah
Published: (2022)