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[PDF] Top 20 The impact of credit conditions on market liquidity – a case for European stock markets

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The impact of credit conditions on market liquidity – a case for European stock markets

The impact of credit conditions on market liquidity – a case for European stock markets

... Since the genesis of financial markets, intermediaries such as brokers and dealers, hedge funds and other liquidity suppliers have played a crucial role for market completeness and ... See full document

25

The impact of credit conditions in market liquidity – a case for European stock markets

The impact of credit conditions in market liquidity – a case for European stock markets

... Money Market Funds Shares/ Units ECB Data Warehouse MFIs Debt Securities Issued ECB Data Warehouse MFIs Remaining Liabilities ECB Data Warehouse MFIs External Liabilities, Extra Euro Area ECB Data Warehouse ... See full document

13

Impact of the NYSE Shocks on the European Developed Capital Markets

Impact of the NYSE Shocks on the European Developed Capital Markets

... focused on the particularities of the co-movement of international financial market in stressful ...periods, the linkages between international markets could suffer ... See full document

8

Effect of European Sovereign Debt Crisis on Banks’ Stock Market Performances

Effect of European Sovereign Debt Crisis on Banks’ Stock Market Performances

... studies the impact of the European sovereign debt crisis on Portuguese banks’ share ...assess the behavior of banks’ share prices before, and after a credit ... See full document

36

The impact of investor sentiment in the Swiss stock market

The impact of investor sentiment in the Swiss stock market

... For the defenders of traditional finance theories, investors are rational and markets efficient, so that prices reflect the fundamental value of the ...In case of a ... See full document

51

STOCK MARKETS AND THEIR INFORMATIONAL INEFFICIENCIES – THE BSE CASE

STOCK MARKETS AND THEIR INFORMATIONAL INEFFICIENCIES – THE BSE CASE

... spite of a quite powerful empirical sustain, the mean reversion hypothesis is not uniformly verified but exhibited episodically only in certain periods and so a conclusion generalization being ...in ... See full document

9

Macroeconomic Determinants of the Stock  Market Index and Policy Implications: The  Case of a Central European Country

Macroeconomic Determinants of the Stock Market Index and Policy Implications: The Case of a Central European Country

... determinants of the stock market index for Hungary and has several major ...whether the stock market index and the money supply may exhibit a quadratic pattern: a ... See full document

11

Study the Relationship between Financial Development Market and Economical Growth in Iran

Study the Relationship between Financial Development Market and Economical Growth in Iran

... variety of financial instruments provides opportunities for families in order to saving the various financial assets from efficiency ...types of securities in the financial market , a ... See full document

14

How credit rating agencies influence the stock markets :  event study

How credit rating agencies influence the stock markets : event study

... On the contrary strong impact over the stock returns is observed after an outlook or credit review as it is to ...Since the rating agency is giving new information to ... See full document

79

Herding behaviour in a peripheral European stock market: the impact of the subprime and the European sovereign debt crises

Herding behaviour in a peripheral European stock market: the impact of the subprime and the European sovereign debt crises

... study of crises periods is important because there is no agreement on the effect of crises on herding behavior (Economou et al, ...in the Asian crisis of 1997, foreign ... See full document

44

Accuracy of european stock target prices

Accuracy of european stock target prices

... least the case for large capitalisation stocks, as our same considers stocks form the 50 European companies that stayed the longest in the Eurostoxx index, over the past ... See full document

33

Cointegration and Structural Breaks in the EU Sovereign Debt Crisis

Cointegration and Structural Breaks in the EU Sovereign Debt Crisis

... that the US financial crisis of 2007 spilled over into other markets through direct ...in the US subprime market. Due to the fact that profit opportunities in domestic real ... See full document

11

THE IMPACT OF BEHAVIORAL FINANCE ON STOCK MARKETS

THE IMPACT OF BEHAVIORAL FINANCE ON STOCK MARKETS

... a market has two kinds of investors: rational investors (rationals), who behave like agents in economics textbooks, and quasi-rational investors (quasi’s), people who are trying to make good investment ... See full document

6

Stock market liquidity impact on economic development

Stock market liquidity impact on economic development

... 10 The composition and length of the sample differ a lot between the various ...example, the biggest samples have 47 countries (Levine & Zervos, 1998; Rousseau & Wachtel, 2000), ... See full document

79

Impact of Institutional Credit on Agricultural Output: A Case Study of Pakistan

Impact of Institutional Credit on Agricultural Output: A Case Study of Pakistan

... that the institutional credit affects agricultural output also through financing of capital ...that the responsiveness of agriculture output is larger to institutional credit ... See full document

22

Contexto int.  vol.35 número2

Contexto int. vol.35 número2

... cooperation on matters of defense policy, develop a common approach to South American infrastructure projects as well as other issues, such as health ...aims, the overall impact of ... See full document

28

RAM, Rev. Adm. Mackenzie  vol.17 número5

RAM, Rev. Adm. Mackenzie vol.17 número5

... presents the cointegration equations corresponding to long-run relationships between the variables of: debt and stock market value, e; debt on equity and return, both of ... See full document

25

Developing Equity Culture and Partnerships in the Investment  Market: a Study on Iran’s over the Counter Market

Developing Equity Culture and Partnerships in the Investment Market: a Study on Iran’s over the Counter Market

... investment market and represents economic development. In the current study, polling and questionnaire method was used to determine the approach of organizational stockholders and exchange ... See full document

11

The Impact of E-Commerce Securi ty, and National Environment  on Consumer adoption of Intern et Banking in Malaysia and  Singapore

The Impact of E-Commerce Securi ty, and National Environment on Consumer adoption of Intern et Banking in Malaysia and Singapore

... as the extent to which a person views an innovation as offering an advantage over previous ways of performing the same task (Roger, 1983; Agarwal & Prasad, ...adopters of Internet banking ... See full document

20

O impacto da crise de 2008 na estrutura temporal de correlação condicional da BMFBovespa El impacto de la crisis de 2008 en la estructura temporal de correlación condicional de BMFBOVESPA

O impacto da crise de 2008 na estrutura temporal de correlação condicional da BMFBovespa El impacto de la crisis de 2008 en la estructura temporal de correlación condicional de BMFBOVESPA

... Next, the daily log returns for each index were ...periods: the Pre-Crisis Period, between 01/10/2003 and 11/30/2007, with 943 returns for each index; the Crisis Period, between 12/01/2007 and ... See full document

14

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