This paper examines the impact of macroeconomic factors on the stock and bond market activities in two Asian countries. We examine the influence of interest rate changes, expected inflation rate, and stock market returns on aggregate stock and bond issuance in Malaysia and Korea. Using vector autoregressive models (VARs) and variance decomposition techniques, our result show that dynamics of equity and bond issuance in both countries vary significantly. Our findings show that there has been a two-way relationship between interest rate changes and bond issuance in the case of South Korea, whereas, stock returns have significantly influenced the bond issuance (instead of equity issuance) in Malaysia. The findings seem to support emerging popu...
Several studies have suggested that the prediction of standard theory on the effects of monetary pol...
Firms in East Asia have extremely polarized funding patterns. Those that play a centralrole in natio...
Purpose- To diversify financing portfolio and reduce the reliance on the banking system, developing ...
This paper examines the impact of macroeconomic factors on the stock and bond market activities in t...
This paper investigates bond market development in Asia by exploring the determinants of firms’ deci...
This study aim to examines the relationship between bond and stock market performance in Malaysia, S...
This paper investigates bond market development in Asia by exploring the determinants of firms' deci...
Developing corporate bond markets is an important policy task for Asian countries. In Korea, there i...
Purpose- To diversify financing portfolio and reduce the reliance on the banking system, developing ...
This paper investigates the determinants of the \u85rms decision to issue corporate bonds in emergin...
Asia¡¦s underdeveloped bond markets and dependence on bank finance have been topics of concern since...
This paper investigates the determinants of firms' decision to issue public debt in emerging Asian e...
International audienceWe investigate the development of corporate bond markets in 10 Asian countries...
This paper identifies macroeconomic and financial factors that are significantly correlated with Tre...
This study contrasts the development of the Republic of Korea’s market for won-denominated foreign b...
Several studies have suggested that the prediction of standard theory on the effects of monetary pol...
Firms in East Asia have extremely polarized funding patterns. Those that play a centralrole in natio...
Purpose- To diversify financing portfolio and reduce the reliance on the banking system, developing ...
This paper examines the impact of macroeconomic factors on the stock and bond market activities in t...
This paper investigates bond market development in Asia by exploring the determinants of firms’ deci...
This study aim to examines the relationship between bond and stock market performance in Malaysia, S...
This paper investigates bond market development in Asia by exploring the determinants of firms' deci...
Developing corporate bond markets is an important policy task for Asian countries. In Korea, there i...
Purpose- To diversify financing portfolio and reduce the reliance on the banking system, developing ...
This paper investigates the determinants of the \u85rms decision to issue corporate bonds in emergin...
Asia¡¦s underdeveloped bond markets and dependence on bank finance have been topics of concern since...
This paper investigates the determinants of firms' decision to issue public debt in emerging Asian e...
International audienceWe investigate the development of corporate bond markets in 10 Asian countries...
This paper identifies macroeconomic and financial factors that are significantly correlated with Tre...
This study contrasts the development of the Republic of Korea’s market for won-denominated foreign b...
Several studies have suggested that the prediction of standard theory on the effects of monetary pol...
Firms in East Asia have extremely polarized funding patterns. Those that play a centralrole in natio...
Purpose- To diversify financing portfolio and reduce the reliance on the banking system, developing ...