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Asia–Pacific Financial Markets – Integration, Innovation and Challenges: International Finance Review

Autor Michael D. Mckenzie, Suk–joong Kim
en Limba Engleză Hardback – 11 dec 2007
This volume of International Finance Review focuses on the Asia-Pacific financial markets. A total of 22 original papers, not published elsewhere, have been selected from a competitive field. These papers utilize a variety of methods, including theoretical, empirical and qualitative to highlight a range of issues across the region. Several papers offer combinations of these different categories and among the empirical papers, there are a wide variety of datasets analyzed. While China does play a significant part in the analysis of five of the papers in this volume (this is to be expected given its importance in the region), a host of other countries are also considered. This ensures the volume is truly international in its scope. These papers each serve to contribute to the knowledge on a particular issue related to the financial markets within this region and for this volume, three main issues have been identified: integration, innovation and challenges.

*Articles contributed by experts in their fields
*Truly international in scope
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Specificații

ISBN-13: 9780762314713
ISBN-10: 0762314710
Pagini: 538
Dimensiuni: 152 x 229 x 1092 mm
Greutate: 0.89 kg
Editura: Emerald Publishing
Seria International Finance Review


Public țintă

Graduates, researchers and practitioners in economics and finance, particularly those with an interest in the Asia-Pacific markets.

Cuprins

INTRODUCTION TO ASIA-PACIFIC FINANCIAL MARKETS: INTEGRATION, INNOVATION AND CHALLENGES
A NEW APPROACH FOR ESTIMATING RELATIONSHIPS BETWEEN STOCK MARKET RETURNS: EVIDENCE OF FINANCIAL INTEGRATION IN THE SOUTHEAST ASIAN REGION
CORRELATION DYNAMICS BETWEEN ASIA-PACIFIC, EU AND US STOCK RETURNS
CONDITIONAL AUTOCORRELATION AND STOCK MARKET INTEGRATION IN THE ASIA PACIFIC
THE IMPACT OF THE OPENING UP OF THE B-SHARE MARKETS ON THE INTEGRATION OF CHINESE STOCK MARKETS
A SINGLE CURRENCY FOR ASEAN-5: AN EMPIRICAL STUDY OF ECONOMIC CONVERGENCE AND SYMMETRY
PERIODICALLY COLLAPSING BUBBLES IN THE ASIAN EMERGING STOCK MARKETS
CURRENCY CRISES IN ASIA: A MULTIVARIATE LOGIT APPROACH
EVIDENCE OF BUBBLES IN THE MALAYSIAN STOCK MARKET
ABNORMAL RETURNS AFTER LARGE STOCK PRICE CHANGES: EVIDENCE FROM ASIA-PACIFIC MARKETS
PRICE LIMITS IN ASIA-PACIFIC FINANCIAL MARKETS: THE CASE OF THE SHANGHAI STOCK EXCHANGE
CHINA’S SECURITIES MARKETS: CHALLENGES, INNOVATIONS, AND THE LATEST DEVELOPMENTS
TEMPORAL CAUSALITY OF RETURN OF INDEX FUTURES AND STOCK MARKETS: EVIDENCE FROM MALAYSIA
PRICE BEHAVIOUR SURROUNDING BLOCK TRANSACTIONS IN STOCK INDEX FUTURES MARKETS: INTERNATIONAL EVIDENCE
THE DETERMINANTS OF CAPITAL STRUCTURE: EVIDENCE FROM VIETNAM
SHAREHOLDERS’ VALUE CREATION AND DESTRUCTION: THE STOCK
PRICES’ EFFECTS OF MERGER ANNOUNCEMENT IN JAPAN
TAKEOVERS AND SHAREHOLDER VALUE CREATION ON THE STOCK EXCHANGE OF THAILAND
HERD BEHAVIOUR OF CHINESE MUTUAL FUNDS
PERFORMANCE PERSISTENCE OF PENSION FUND MANAGERS: EVIDENCE FROM HONG KONG MANDATORY PROVIDENT FUNDS
FINANCIAL MARKET IMPLICATIONS OF INDIA'S PENSION REFORM
ON THE SAFETY AND SOUNDNESS OF CHINESE BANKS IN THE POST-WTO ERA
MARKET DISCIPLINE BY C.D. HOLDERS: EVIDENCE FROM JAPAN WITH A COMPARISON TO THE U.S.
WHAT ARE THE NEXT STEPS FOR BOND MARKET DEVELOPMENT IN THAILAND?