Impact of macroeconomic factors on stock exchange prices evidence from USA, Japan and China

Gespeichert in:
Bibliographische Detailangaben
Veröffentlicht in:International Finance Conference on Financial Crisis and Governance (6 : 2011 : Paris) 6th International Finance Conference on Financial Crisis and Governance
Weitere Verfasser: Masood, Omar (BerichterstatterIn), Habiba, Umie (BerichterstatterIn), Mardonez, Shirley (BerichterstatterIn), Bellalah, Mondher (BerichterstatterIn), Pariente, Georges (BerichterstatterIn), Levyne, Olivier (BerichterstatterIn)
Pages:6
Format: UnknownFormat
Sprache:eng
Veröffentlicht: 2011
Schlagworte:
Tags: Tag hinzufügen
Keine Tags, Fügen Sie den ersten Tag hinzu!
Titel Jahr Verfasser
"Psychometric" indices and the prediction of financial bubbles : a survey of professional investors 2011 Bensimhon, Larry
Impact of macroeconomic factors on stock exchange prices : evidence from USA, Japan and China 2011
The influence of institutional holdings on the strategic orientations of businesses : the case of Blue Capital in the Carrefour Group 2011 Monaco, Carole
Financial crisis? : for an optimistic view of growth ; review of literature and main empirical data 2011 Teulon, Frédéric
Volatility spillover among Islamic and others : emerging stock markets 2011 Majdoub, Jihed
Bond sensivities and interest rate risks 2011 Lajili Jarjir, Souad
Credit crisis and the collapse of ARS market 2011 Gandhi, Devinder K.
Does co-integration and causal relationship exist between the non-stationary variables for Chinese banks' profitability? : empirical evidence 2011 Masood, Omar
Comparability of financial information and segmental reporting : an empirical study of the information disclosed by international hotel groups 2011 Demerens, Frédéric
Analysis of managers' use of management accounting 2011 Cheffi, Walid
Organizational learning and knowledge development peculiarities in small and medium family enterprises 2011 Basly, Samy
The case as a research tool in management sciences : an epistemological positioning 2011 Bachta, Anis
Excess volatility and Behavioral features surrounding the crisis period : evidence from the MENA region 2011 Derrabi, Mohamed
Basel III : strengthening the resilience of the banking sector 2011 Lamy, Marie-Florence
Solvency and valuation of banks 2011 Levyne, Olivier
Test of the cumulative prospects theory : experimental laboratory in the context of the financial investments in Tunisia 2011 Jebeniani Gouider, Jihène
The multiple straddle carrier routing problem 2011 Mili, Khaled
Interactions between free cash flow, debt policy and structure of governance : three stage least square simultaneous model approach : evidence from the Tunisian Stock Exchange 2011 Fatma, Ben Moussa
Syariah accounting and compliant screening practices 2011
Islamic finance, energy sector and financial innovations 2011 Bellalah, Mondher
Alle Artikel auflisten