The stock market : crisis, recovery and emerging economies
Author(s)
Bibliographic Information
The stock market : crisis, recovery and emerging economies
(Economic issues, problems and perspectives series)(Business issues, competition and entrepreneurship)
Nova Science Publishers, c2011
- : [hardcover]
Available at 2 libraries
  Aomori
  Iwate
  Miyagi
  Akita
  Yamagata
  Fukushima
  Ibaraki
  Tochigi
  Gunma
  Saitama
  Chiba
  Tokyo
  Kanagawa
  Niigata
  Toyama
  Ishikawa
  Fukui
  Yamanashi
  Nagano
  Gifu
  Shizuoka
  Aichi
  Mie
  Shiga
  Kyoto
  Osaka
  Hyogo
  Nara
  Wakayama
  Tottori
  Shimane
  Okayama
  Hiroshima
  Yamaguchi
  Tokushima
  Kagawa
  Ehime
  Kochi
  Fukuoka
  Saga
  Nagasaki
  Kumamoto
  Oita
  Miyazaki
  Kagoshima
  Okinawa
  Korea
  China
  Thailand
  United Kingdom
  Germany
  Switzerland
  France
  Belgium
  Netherlands
  Sweden
  Norway
  United States of America
Note
Includes bibliographical references and index
Description and Table of Contents
Description
This book examines the dynamic linkages among the federal budget deficit, interest rates and the stock market for the United States from 1960 to 2006. Topics discussed herein include the strategic risk assessment techniques that can be applied to investment and trading portfolios in emerging financial markets, such as in the context of the Gulf Co-operation Council (GCC) stock markets, as well as Africa's emerging capital markets and the financial crisis and whether the theory of periodically collapsing speculative bubbles can explain the dynamics of East Asian emerging stock market returns.
Table of Contents
- Preface
- Federal Budget Deficits, Interest Rates & the General Stock Market
- Strategic Stock Markets Risk Assessment in Emerging Economies
- Africas Emerging Capital Markets & the Financial Crisis
- Stock Market Bubbles & Crises: The Case of East Asian Emerging Markets
- Market Reactions to the Disclosure of Internal Control Weaknesses Under the Japanese Sarbanes-Oxley Act of 2006
- Adaptive Wave Models for Option Pricing Evolution
- Reconsidering Stock Returns & Equity Mutual Fund Flows in the U.S. Stock Market: A Macro Approach
- Reexamining Covariance Risk Dynamics in Global Stock Markets using Quantile Regression Analysis
- Stock Market Volatility & the Great Moderation: New Evidence Based on the G-7 Economies
- Index.
by "Nielsen BookData"