Tactical risk analysis in emerging markets in the wake of the credit crunch and ensuing sub-prime financial crisis

Gespeichert in:
Bibliographische Detailangaben
Veröffentlicht in:Emerging markets and the global economy
1. Verfasser: Al Janabi, Mazin A. M. (VerfasserIn)
Format: UnknownFormat
Sprache:eng
Veröffentlicht: 2014
Schlagworte:
Tags: Tag hinzufügen
Keine Tags, Fügen Sie den ersten Tag hinzu!
Titel Jahr Verfasser
An investigation of the deviation from the market efficiency and its implications for capital market development : the DSE evidence 2014 Azad, A. S. M. Sohel
An econometric analysis of the impact of oil prices on stock markets in Gulf cooperation countries 2014 Arouri, Mohamed
An empirical study on mutual funds performance persistence in China 2014 Chen, Dawei
Cultural behavioral finance in emerging markets 2014 Lucey, Brian M.
Are emerging markets exposed to contagion from the United States : evidence from stock and sovereign bond markets 2014 Wagan, Hakimzadi
The behavior of international stock market excess returns in an increasingly integrated world 2014 Donadelli, Michael
Emerging markets banks performance evidence from China's banks in Hong Kong 2014 Zhang, Xiaoxi
Understanding the relationship between liquidity and inflation in the post crisis period in India : from bank dealers' perspectives 2014 Das, Rituparna
Trading intensity and informed trading in the Tunis stock exchange 2014 Karaa, Rabaa
Energy sector companies of the BRICS : systematic and specific financial risks and value at risk 2014 Bianconi, Marcelo
Developed and emerging equity market tail risk : is it constant? 2014 Straetmans, Stefan
Measuring systemic risk in emerging markets using CoVaR 2014 Drakos, Anastassios A.
Tactical risk analysis in emerging markets in the wake of the credit crunch and ensuing sub-prime financial crisis 2014 Al Janabi, Mazin A. M.
Stock and bond markets co-movements in selected MENA countries : a dynamic coherence function approach 2014 Boukhatem, Jamel
Stock market volatility and contagion effects in the financial crisis : the case of South-Eastern Europe 2014 Syriopoulos, Theodore
Asset return and volatility spillovers between big commodity producing countries 2014 Sadorsky, Perry A.
Robust measures of hybrid emerging market mutual funds performance 2014 Ayadi, Mohamed A.
Early warning system for financial crisis : statistical classification approach 2014 Kim, Youngmin
Comovements and volatility spillovers between oil prices and stock markets : further evidence for oil-exporting and oil-importing countries 2014 Guesmi, Khaled
Collateral in emerging economies 2014 Hanedar, Elmas Yaldız
Alle Artikel auflisten