The US financial crisis, market volatility, credit risk and stock returns in the Americas
Year of publication: |
2021
|
---|---|
Authors: | Rodriguez-Nieto, Juan Andres ; Mollick, André Varella |
Published in: |
Financial markets and portfolio management. - Norwell, Mass. : Springer, ISSN 2373-8529, ZDB-ID 2097963-0. - Vol. 35.2021, 2, p. 225-254
|
Subject: | Credit risk | Financial contagion | Latin America | Market volatility | US financial crisis | Emerging markets | Theorie | Theory | Finanzkrise | Financial crisis | Lateinamerika | Kreditrisiko | Volatilität | Volatility | Schwellenländer | Emerging economies | Kapitaleinkommen | Capital income | Aktienmarkt | Stock market |
-
Hwang, Eugene, (2013)
-
Yousaf, Imran, (2020)
-
Economic indicators and stock market volatility in an emerging economy
Chun, Dohyun, (2020)
- More ...
-
China's exports and the oil price
Faria, João Ricardo, (2008)
-
The impact of crime and other economic forces on Mexico's foreign direct investment inflows
Cabral Torres, René, (2018)
-
Systematic and idiosyncratic risks of the U.S. Airline industry
Bhuyan, Rafiqul, (2022)
- More ...