International Financial Systems and Stock Volatility

International Financial Systems and Stock Volatility

Issues and Remedies

Sabri, Nidal Rashid

Emerald Publishing Limited

02/2002

396

Dura

Inglês

9780762308552

15 a 20 dias

730

Descrição não disponível.
Introduction: Financial crises in a globally integrated economy (N.R. Sabri). Roots of stock market volatility and crises: A synthesis and suggested solutions. (N.R. Sabri). International bank lending and the Asian crises (J. Batten, K. Brown, T.A.Fetherston). Price linkages and integration of Lena stock markets (S. Neaime, S. Hakim). Share prices reaction to the release of financial statements in emerging stock markets: The case of Saudia Arabia (K. Naser). Consequences of the Asian financial crises on global asset allocation strategies: Evidence from the Asian block (E. Girard, H. Rahman, T. Zaher). Liberalization of capital flow, banking system and trade focus on crises situation (J.D. Agarwal, A. Agarwal). The Crisis of financial intermediation: understanding Japan's lingering financial stagnation (Y. Suzuki). Designing monetary relations between the EU and the US: Is the degree of exchange rate volatility relevant? (A. Belke, D. Gros). On volatility smiles and the valuation of equity and index options in the Paris bourse: theory and empirical tests (M. Bellalah). Are the premia in foreign exchange markets affected by the length of the contract horizon? (Y. Daoud, T. Kinal). Economic and financial instability: Lessons from the Asian crises (G. Vaggi). International portfolio choices and the effect of information costs (Makram and Mondher Bellalah). The determinants of cross-border bank takeover premiums (A. Gart, K. Krishnan, I. Affaneh).
Este título pertence ao(s) assunto(s) indicados(s). Para ver outros títulos clique no assunto desejado.