Price Interdependence Among Equity Markets In The Asia Pacific Region
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Author | : Eduardo Roca |
Publisher | : Routledge |
Total Pages | : 184 |
Release | : 2020-11-25 |
Genre | : Business & Economics |
ISBN | : 1000114023 |
This title was first published in 2000: An investigation of the issue of financial markets interdependence or integration through the application of recently developed and powerful techniques in time series econometrics. The text provides coverage of theoretical analysis and applications in the context of the Asia-Pacific region.
Author | : Eduardo Roca |
Publisher | : Routledge |
Total Pages | : 115 |
Release | : 2020-11-26 |
Genre | : Social Science |
ISBN | : 1000160378 |
This title was first published in 2000: An investigation of the issue of financial markets interdependence or integration through the application of recently developed and powerful techniques in time series econometrics. The text provides coverage of theoretical analysis and applications in the context of the Asia-Pacific region.
Author | : Frank S. T. Hsiao |
Publisher | : World Scientific Publishing Company |
Total Pages | : 0 |
Release | : 2020 |
Genre | : East Asia |
ISBN | : 9789811205408 |
Causality and exogeneity between exports and economic growth : the case of Asian NICs -- The chaotic attractor of foreign direct investment : why China? : a panel data analysis -- FDI, exports, and GDP in East and Southeast Asia : panel data versus time-series causality analyses -- FDI, exports, economic growth nexus in first and second generation ANIEs / co-authored with Yongkul Won -- The IT revolution and macroeconomic volatility in newly developed countries : on the real and financial linkages -- The impacts of the U.S. economy on the Asia-Pacific region : does it matter? / co-authored with Akio Yamashita -- Gains from policy coordination between Taiwan and the USA : on the games governments play -- International policy coordination with a dominant player : the case of the United States, Japan, Taiwan, and Korea.
Author | : Rajeswary Ampalavanar Brown |
Publisher | : Routledge |
Total Pages | : 407 |
Release | : 2007-01-24 |
Genre | : Business & Economics |
ISBN | : 1134157541 |
Backed by detailed empirical data, Raj Brown gives a comprehensive analysis of the rise of the corporate economy in Southeast Asia, focusing in particular on corporate organization, methods of finance, business environment and corporate governance.
Author | : Compiled by the British Library of Political and Economic Science |
Publisher | : Psychology Press |
Total Pages | : 720 |
Release | : 2001-11-22 |
Genre | : Business & Economics |
ISBN | : 9780415262361 |
IBSS is the essential tool for librarians, university departments, research institutions and any public or private institution whose work requires access to up-to-date and comprehensive knowledge of the social sciences.
Author | : Pelma Rajapakse |
Publisher | : Springer |
Total Pages | : 309 |
Release | : 2019-04-11 |
Genre | : Business & Economics |
ISBN | : 3030006050 |
This book evaluates key commercial law aspects of the relevant law and legislation governing residential mortgage-backed securities (RMBSs) in Australia from a legal perspective. Within the context of a “public benefit test” framework, the book seeks to critically evaluate the impact and effectiveness of current law and regulation governing RMBSs. There is a dearth of both academic and practical literature on the legal and regulatory issues surrounding RMBSs in Australia. The book aims to make a contribution to the formulation of law and public policy by suggesting a number of reforms to the current law and practice surrounding RMBSs in Australia. In part, these suggested reforms will be based on the lessons learned from the experiences of overseas jurisdictions such as Canada, the U.K, and the United States.
Author | : Suk-Joong Kim |
Publisher | : Elsevier |
Total Pages | : 537 |
Release | : 2007-12-12 |
Genre | : Business & Economics |
ISBN | : 0762314710 |
This volume of "International Finance Review" focuses on the Asia-Pacific financial markets. A total of 22 original papers, not published elsewhere, have been selected from a competitive field. These papers utilize a variety of methods, including theoretical, empirical and qualitative to highlight a range of issues across the region. Several papers offer combinations of these different categories and among the empirical papers, there are a wide variety of datasets analyzed. While China does play a significant part in the analysis of five of the papers in this volume (this is to be expected given its importance in the region), a host of other countries are also considered. This ensures the volume is truly international in its scope. These papers each serve to contribute to the knowledge on a particular issue related to the financial markets within this region and for this volume, three main issues have been identified: integration, innovation and challenges. Articles are contributed by experts in their fields. It is truly international in scope.
Author | : Muzafar Shah Habibullah |
Publisher | : Routledge |
Total Pages | : 119 |
Release | : 2017-11-01 |
Genre | : Social Science |
ISBN | : 1351724657 |
This title was first published in 2000. This volume contains nine selected applied economic papers presented during the 1999 Faculty of Economics and Management Seminar in Melaka. The articles included focus the studies on trade and finance in Malaysia and other ASEAN member countries.
Author | : Jonathan A. Batten |
Publisher | : Emerald Group Publishing |
Total Pages | : 455 |
Release | : 2014-10-03 |
Genre | : Business & Economics |
ISBN | : 1784410268 |
Risk Management Post Financial Crisis: A Period of Monetary Easing provides further insights into postcrisis developments in the global economic and financial environment including advances in measuring and reporting risk and liquidity. Contributions come from leading banks, international organisations and worldrenowned universities.
Author | : Cheng-Few Lee |
Publisher | : Springer Science & Business Media |
Total Pages | : 1700 |
Release | : 2010-06-14 |
Genre | : Business & Economics |
ISBN | : 0387771174 |
Quantitative finance is a combination of economics, accounting, statistics, econometrics, mathematics, stochastic process, and computer science and technology. Increasingly, the tools of financial analysis are being applied to assess, monitor, and mitigate risk, especially in the context of globalization, market volatility, and economic crisis. This two-volume handbook, comprised of over 100 chapters, is the most comprehensive resource in the field to date, integrating the most current theory, methodology, policy, and practical applications. Showcasing contributions from an international array of experts, the Handbook of Quantitative Finance and Risk Management is unparalleled in the breadth and depth of its coverage. Volume 1 presents an overview of quantitative finance and risk management research, covering the essential theories, policies, and empirical methodologies used in the field. Chapters provide in-depth discussion of portfolio theory and investment analysis. Volume 2 covers options and option pricing theory and risk management. Volume 3 presents a wide variety of models and analytical tools. Throughout, the handbook offers illustrative case examples, worked equations, and extensive references; additional features include chapter abstracts, keywords, and author and subject indices. From "arbitrage" to "yield spreads," the Handbook of Quantitative Finance and Risk Management will serve as an essential resource for academics, educators, students, policymakers, and practitioners.