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:
Main Author: | Suvarna Sree, Sellathurai |
---|---|
Format: | Thesis |
Language: | eng eng |
Published: |
2021
|
Subjects: | |
Online Access: | https://etd.uum.edu.my/10315/1/s826511_01.pdf https://etd.uum.edu.my/10315/2/s826511_02.pdf |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
The effect of COVID-19 pandemic on stock market performance, Malaysia
by: Pavitra, Ravi
Published: (2021) -
Stock market reaction towards change of Malaysian government
by: Mohamad Annawi, Anuar
Published: (2021) -
Bank lending and macroeconomic variables: empirical evidence from panel data
by: Nur Aziani, Azizi
Published: (2016) -
Macroeconomic factors affecting Malaysia’s GDP from 2000 to 2019
by: Tharane, Vicnaswaran
Published: (2021) -
A study on the relationship between macroeconomic factors and number of IPOs in Malaysia
by: Rudra Raam, Murugasu
Published: (2021)