357 results on '"stock markets"'
Search Results
2. Islamic equity funds and stock market: dynamic relation and market timing during the COVID-19 outbreak
3. Machine and deep learning-based stock price prediction during the COVID-19 pandemic: the case of CAC 40 index
4. Tracking Smart Beta indices during different market phases: A “smarter” option for passive investors?
5. Does banning cryptocurrencies affect stock markets?
6. The dynamic interdependence structure and risk spillover effect between Sino-US stock markets
7. Black swan events and stock market behavior in Gulf countries: a comparative analysis of financial crisis (2008) and COVID-19 pandemic
8. Geopolitical risk, economic policy uncertainty, financial stress and stock returns nexus: evidence from African stock markets
9. Air pollution and stock market returns: actual effect vs public attention in an Indian context
10. Volatility spillovers among G7, E7 stock markets and cryptocurrencies
11. Spillovers between cryptocurrencies, gold and stock markets: implication for hedging strategies and portfolio diversification under the COVID-19 pandemic
12. Good and bad high-frequency volatility spillovers among developed and emerging stock markets
13. An analysis of dependency of stock markets after unlimited QE announcements during COVID-19 pandemic
14. The financial market's ability to forecast economic growth: information from sectoral movements
15. A Russian carol: impact and dependence on global equity markets during the Ukraine invasion
16. Feedback trading in global stock markets under uncertainty of COVID-19
17. The hedging role of US and Chinese stock markets against economic and trade policy uncertainty: lessons from recent turbulences
18. Presidential elections and stock return volatility: evidence from selected sub-Saharan African stock markets
19. Connectedness among various financial markets classes under Covid-19 pandemic and 2022 Russo-Ukrainian war: evidence from TVP-VAR approach
20. Directional predictability and volatility spillover effect from stock market indexes to Bitcoin: evidence from developed and emerging markets
21. The impact of the Russia–Ukraine conflict (2022) on volatility connectedness between the Egyptian stock market sectors: evidence from the DCC-GARCH-CONNECTEDNESS approach
22. Economic policy uncertainty of China and investment opportunities: a tale of ASEAN stock markets
23. To tender or not: an investor’s dilemma in the first hostile takeover in Indian IT services industry
24. Investors' reactions to COVID-19 related announcements: evidence from the cargo shipping industry
25. Impact of COVID-19 on listed European electricity companies: a comparative analysis of investment in renewable and traditional electricity
26. An Assessment of the Borsa Istanbul Insurance Index Return Structure: The Markov Regime Switching Model
27. Determination of the Sensitivity of Stock Index to Macroeconomic and Psychological Factors by MARS Method
28. Examination of impact of COVID-19 on stock market: evidence from American peninsula
29. Do stock markets value green operations? Evidence from India
30. A note on the relationship between COVID-19 and stock market return: evidence from South Asia
31. Dynamic Common Properties of National Herd Behavior of Stock Markets
32. Cryptocurrency as a safe haven for investment portfolios amid COVID-19 panic cases of Bitcoin, Ethereum and Litecoin
33. The dynamic network connectedness and hedging strategies across stock markets and commodities: COVID-19 pandemic effect
34. Explaining stock market returns in Sub-Saharan Africa using an alternate uncovered interest rate parity framework
35. Comparison of SME stock portfolio and manufacturing company performance in the Indonesian, Indian and Chinese stock markets
36. Causality and dynamic relationships between exchange rate and stock market indices in BRICS countries : Panel/GMM and ARDL analyses
37. International stock markets Integration and dynamics of volatility spillover between the USA and South Asian markets: evidence from Global financial crisis
38. Financial market consequences of early adoption of international standards on auditing: international evidence
39. Emerging market currency risk exposure: evidence from South Africa
40. Where are Islamic finance indices pointing towards? : Lessons from experimental ‘pockets’ of Islamic financial regulation on international stock markets
41. Stock market performance and cross-border mergers and acquisitions in South Africa : 1991 to 2014
42. Implications of the paracrises on the companies’ stock prices
43. Neoliberal corporate governance mechanisms : The embedding of practical barriers to effective corporate social responsibility in Nigeria
44. Buying on rumors: how financial news flows affect the share price of Tesla
45. Return and volatility spillover across equity markets between China and Southeast Asian countries
46. The effect of dividend policy on share price volatility: an analysis of Mediterranean banks’ stocks
47. Migration policy uncertainty and stock market investor sentiment
48. The optimal thermal causal path analysis on the relationship between international crude oil price and stock market
49. Asymmetric and nonlinear inter-relations of US stock indices
50. Re-examining the financial development and poverty nexus: some international evidence
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