The impact of macroeconomic factors on the emerging stock markets performance: evidence from selected countries
The purpose of the study is to explore the relationship between macroeconomic factors (Interest rate, Exchange rate, Inflation, GDP and Money supply) and the emerging stock market through the evidence of selected 13 emerging stock markets over the past 20 years period from 1997 to 2016. The yearly d...
محفوظ في:
المؤلف الرئيسي: | Hu, Sizhe |
---|---|
التنسيق: | أطروحة |
اللغة: | eng eng |
منشور في: |
2018
|
الموضوعات: | |
الوصول للمادة أونلاين: | https://etd.uum.edu.my/7679/1/s821617_01.pdf https://etd.uum.edu.my/7679/2/s821617_02.pdf |
الوسوم: |
إضافة وسم
لا توجد وسوم, كن أول من يضع وسما على هذه التسجيلة!
|
مواد مشابهة
-
Bank stock returns and macroeconomic variables:
Empirical evidence from selected ASEAN countries
بواسطة: Mohammed, Ahmed Jasim
منشور في: (2015) -
Stock market integration in the presence of the leading macroeconomic indicators: empirical evidence from 30 countries
بواسطة: Lim, Shu Ern
منشور في: (2021) -
The impact of crises, liquidity and contagion on stock market development: evidence from ASEAN – 5 countries
بواسطة: Mohd Yushairi, Mat Yusoff
منشور في: (2018) -
The relationship between macroeconomic variables and non performing loan: evidence from selected ASEAN countries
بواسطة: Noor Azean Azdzila, Zulkifli
منشور في: (2017) -
The impact of Covid-19 on stock market performance:
Evidence from Malaysia
بواسطة: Shahiran, Muhamad Fitri
منشور في: (2021)