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This article examines the determinants of a firm's proportion of collateralized loans within the context of Chinese firms. In particular, focus is placed on the effect of a new bank regulatory system on the firm's proportion of collateralized loans. The study found that a firm's proportion of...
Persistent link: https://www.econbiz.de/10010598721
This paper performs an empirical investigation into the relationship between oil price and stock market returns for seven countries (Kuwait, Oman, UAE, Bahrain, Qatar, UK and USA) by applying the Vector Auto Regression (VAR) analysis. During this period oil prices have tripled creating a...
Persistent link: https://www.econbiz.de/10008863132
This chapter analyzes the geography of Australia's international portfolio investment using the International Monetary Fund's coordinated Portfolio Investment Survey dataset. It provides some answers to the following questions: (a) why does the pattern of Australia's capital flows not match that...
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This paper explains in non-technical terms various techniques used to measure volatility ranging from time invariant measures to time variant measures. It is shown that a weakness of the former measures arises from the underlying assumption that volatility is considered to be constant over time....
Persistent link: https://www.econbiz.de/10010872571
Since China opened its economy to foreign investment in 1979, it has become the second largest foreign direct investment (FDI) destination in the world after the USA. Over the past three decades, the manufacturing sector has dominated China's FDI inflow, however, when manufacturing activity is...
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