Master of Management in Finance and InvestmentsThis study investigates the relationship between macroeconomy and stock market. The specific objectives are to: (a) find out the macroeconomic determinant of stock returns, (b) establish long term relationship of macroeconomic and (c) find out if there are volatility spill overs between macroeconomic volatilities and stock returns volatility. Domestic Company Index (DCI) is used to represent stock returns and (a) Consumer Price Index to represent inflation, (b) USD/BWP as exchange rates, (c) Bank rates as interest rates and (d) M2 to represent money supply as macroeconomic variables. The relevance of Gross Domestic Product (GDP) is highly acknowledged but due to limited data, it was excluded fr...
Using S&P 500 and Dow Jones Industrial Average indices as the benchmark to measure the U.S. stoc...
The purpose of the study is to examine the causal relationship between the macroeconomic variables a...
This study examines the relationship between stock market index and macroeconomic variables in Thail...
The purpose of this study is to describe the relationship between stock returns and macroeconomic va...
The ability of the stock market to reflect real economic activities through fundamental macroeconomi...
This paper attempt to investigate the relationship between macroeconomic variables and FTSE Bursa Ma...
This study examines the impact of macroeconomic variables on stock prices. We use the Databank stock...
This study examines the relationship between macroeconomic variables and stock market returns using ...
Doctor of PhilosophyDepartment of EconomicsLance J. BachmeierThis dissertation investigates the long...
The securities market in China is one of the world’s most promising emerging markets. It played a si...
Submitted in partial fulfillment of the requirements for the Degree of Master of commerceA clear un...
It is very important for policymakers to understand the impact of macroeconomic variables on the sto...
This study examines whether the performance of Colombo Stock Exchange(CSE), as measured by the All ...
The aim of this study is to investigate the relationship between Exchange Rate, Inflation Rate, M...
Over the past decades, numerous studies have analyzed the relationship and the different results obt...
Using S&P 500 and Dow Jones Industrial Average indices as the benchmark to measure the U.S. stoc...
The purpose of the study is to examine the causal relationship between the macroeconomic variables a...
This study examines the relationship between stock market index and macroeconomic variables in Thail...
The purpose of this study is to describe the relationship between stock returns and macroeconomic va...
The ability of the stock market to reflect real economic activities through fundamental macroeconomi...
This paper attempt to investigate the relationship between macroeconomic variables and FTSE Bursa Ma...
This study examines the impact of macroeconomic variables on stock prices. We use the Databank stock...
This study examines the relationship between macroeconomic variables and stock market returns using ...
Doctor of PhilosophyDepartment of EconomicsLance J. BachmeierThis dissertation investigates the long...
The securities market in China is one of the world’s most promising emerging markets. It played a si...
Submitted in partial fulfillment of the requirements for the Degree of Master of commerceA clear un...
It is very important for policymakers to understand the impact of macroeconomic variables on the sto...
This study examines whether the performance of Colombo Stock Exchange(CSE), as measured by the All ...
The aim of this study is to investigate the relationship between Exchange Rate, Inflation Rate, M...
Over the past decades, numerous studies have analyzed the relationship and the different results obt...
Using S&P 500 and Dow Jones Industrial Average indices as the benchmark to measure the U.S. stoc...
The purpose of the study is to examine the causal relationship between the macroeconomic variables a...
This study examines the relationship between stock market index and macroeconomic variables in Thail...