Financial integration especially in Asian financial market has been a defining feature of the world economy and has become a central issue in international finance for the past decades. However, there is limited empirical studies on the integration of Asian bond market. Therefore, this study aims to examine the financial market integration in Asia (Stock and Bond Market). The sample of this study is the major of Asian financial markets including Japan, China, Hong Kong, Singapore and South Korea during January 2009 – December 2016. Correlation, co-integration and causality tests used in this study to investigate the financial markets integrations. This study shows that both stock and bond returns are co-integrated and indicate as a common s...
Our paper tests the conditional version of the International Capital Asset Pricing Model (ICAPM) app...
The recent daily data (Jan. 1, 1990 - July, 22,1992) of six stock markets namely, Japan, Hong Kong, ...
Financial integration has strong implications for financial stability. On the one hand, financial in...
This paper investigates the degree of global versus regional financial integration in Southeast Asia...
The degree of financial market integration increased significantly since the mid-1980s fueled by the...
This is the accepted manuscript version of an article accepted for publication in International Revi...
We examine the degree of regional vs. global financial integration of East Asian countries in three ...
We investigate the degree and evolution of financial integration for 11 Asian equity markets for the...
This paper reveals the degree of integration of financial markets in selected ASEAN economies. Few s...
This study empirically examines the impact of economic integration on stock market co-movements of I...
The study aims to investigate whether the Asian stock markets are integrated or not and if they are ...
Financial market integration in Southern Asia especially in ASEAN main member countries still attrac...
This paper examines price linkages among Asian equity markets in the period surrounding the recent A...
The study analyzed financial market integration in the five countries of South Asia, Pakistan, India...
This PhD dissertation focuses on examining the state of financial integration in Indonesia, Malaysi...
Our paper tests the conditional version of the International Capital Asset Pricing Model (ICAPM) app...
The recent daily data (Jan. 1, 1990 - July, 22,1992) of six stock markets namely, Japan, Hong Kong, ...
Financial integration has strong implications for financial stability. On the one hand, financial in...
This paper investigates the degree of global versus regional financial integration in Southeast Asia...
The degree of financial market integration increased significantly since the mid-1980s fueled by the...
This is the accepted manuscript version of an article accepted for publication in International Revi...
We examine the degree of regional vs. global financial integration of East Asian countries in three ...
We investigate the degree and evolution of financial integration for 11 Asian equity markets for the...
This paper reveals the degree of integration of financial markets in selected ASEAN economies. Few s...
This study empirically examines the impact of economic integration on stock market co-movements of I...
The study aims to investigate whether the Asian stock markets are integrated or not and if they are ...
Financial market integration in Southern Asia especially in ASEAN main member countries still attrac...
This paper examines price linkages among Asian equity markets in the period surrounding the recent A...
The study analyzed financial market integration in the five countries of South Asia, Pakistan, India...
This PhD dissertation focuses on examining the state of financial integration in Indonesia, Malaysi...
Our paper tests the conditional version of the International Capital Asset Pricing Model (ICAPM) app...
The recent daily data (Jan. 1, 1990 - July, 22,1992) of six stock markets namely, Japan, Hong Kong, ...
Financial integration has strong implications for financial stability. On the one hand, financial in...