Euro area stock markets integration : empirical evidence after the end of 2010 debt crisis
Year of publication: |
2022
|
---|---|
Authors: | Stoupos, Nikolaos ; Kiohos, Apostolos |
Published in: |
Finance research letters. - Amsterdam [u.a.] : Elsevier, ISSN 1544-6123, ZDB-ID 2181386-3. - Vol. 46.2022, 2, p. 1-8
|
Subject: | Financial integration | Euro Area stock markets | Market risk analysis | Realized volatility-dynamics | Stock markets integration | Aktienmarkt | Stock market | Eurozone | Euro area | Marktintegration | Market integration | EU-Staaten | EU countries | Internationaler Finanzmarkt | International financial market | Finanzmarkt | Financial market |
-
Orłowski, Lucjan T., (2014)
-
An empirical study of the impact of the Euro on cross-country diversification
Diro Ejara, Demissew, (2023)
-
The center still holds : financial integration in the euro area
Gill, Indermit Singh, (2014)
- More ...
-
Euro Area : Towards a European Common Bond? – Empirical Evidence from the Sovereign Debt Markets
Stoupos, Nikolaos, (2021)
-
Gold's price and advanced stock markets : a post-crisis approach
Stoupos, Nikolaos, (2020)
-
Scandinavia : towards the European Monetary Union?
Stoupos, Nikolaos, (2019)
- More ...