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Many emerging markets have experienced significant changes in government policies and capital market reforms. These changes may lead to changes in their return-generating processes. Based on Markov-switching models, this paper investigates whether there is more than one regime in the...
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This paper examines the probable impact of volatility in stock markets of India and US on frontier markets of Africa, Middle East, and South Asia. Time series data for 10 years spanning from March 1, 2009, to February 28, 2018 is considered for the study. Unconditional correlations are computed...
Persistent link: https://www.econbiz.de/10013247699
It is an established fact that the ability of internationalization of all economy is largely dependent on its investment links with the rest of the world - both inward and outward. While inward investment plays a critical role in bridging the gap between the amount of investment targeted by the...
Persistent link: https://www.econbiz.de/10014153194
There are numerous studies that examine the impact of social media on the stock market performance but there is a paucity of such evidences from the emerging economies. Today many multinational banks and other financial conglomerates from the developed countries are expanding their operations to...
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In this article, we test whether the structure of emerging market volatility has changed and assess the link between the structural changes in volatility behaviour and financial liberalization events. The opening of financial markets tends to generate outlying returns around the opening dates,...
Persistent link: https://www.econbiz.de/10003856643
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