Macroeconomics determinants of stock market index in Malaysia
The main purpose of this research is to examine the relationship between macroeconomic variables and the stock market index in Malaysia. The macroeconomics variables consist of Interest Rate (IR), Inflation Rate (INF), Real Effective Exchange Rate (REER) and Crude Oil Price (CRU). There are 120 obse...
Saved in:
主要作者: | Suvarna Sree, Sellathurai |
---|---|
格式: | Thesis |
语言: | eng eng |
出版: |
2021
|
主题: | |
在线阅读: | https://etd.uum.edu.my/10315/1/s826511_01.pdf https://etd.uum.edu.my/10315/2/s826511_02.pdf |
标签: |
添加标签
没有标签, 成为第一个标记此记录!
|
相似书籍
-
The effect of COVID-19 pandemic on stock market performance, Malaysia
由: Pavitra, Ravi
出版: (2021) -
Stock market reaction towards change of Malaysian government
由: Mohamad Annawi, Anuar
出版: (2021) -
Bank lending and macroeconomic variables: empirical evidence from panel data
由: Nur Aziani, Azizi
出版: (2016) -
Macroeconomic factors affecting Malaysia’s GDP from 2000 to 2019
由: Tharane, Vicnaswaran
出版: (2021) -
A study on the relationship between macroeconomic factors and number of IPOs in Malaysia
由: Rudra Raam, Murugasu
出版: (2021)