This article examines the relationship between financial liberalization and stock market volatility in Indonesia. By looking at the time series properties of the Jakarta Composite Index (JCI) we identify breaks in stock market volatility which coincide with the timing of major policy events. Our main findings are (i) a significant decrease in volatility after the 'official' opening of the stock market to foreign participation; (ii) a significant increase in volatility in the year before market opening following reforms that eased entry requirements and the issuance of brokerage licenses and (iii) a significant increase in volatility at the time of the Asian crisis followed by a significant decrease in the second and sixth years after the cr...
In this study, we address whether the degree of financial liberalization affects the aggregated tota...
This study dwells on the effects of financial market liberalization and deregulation reforms of the ...
During the deepest financial crisis in mid 2007-2009, increasing volatility of Indonesian stock mark...
This paper examines the relationship between \u85nancial liberalisation and stock market volatility ...
This paper examines the relationship between financial liberalisation and stock market volatility in...
This study examines the impact of stock market liberalization on stock return volatility in the Burs...
This study examines structural breaks and the impact of financial liberalization on the volatility o...
This study analyzes the impact of stock market liberalization on emerging equity market volatility, ...
Islamic stock market is apparently different from the conventional stock market due to the prohibiti...
In this article, we test whether the structure of emerging market volatility has changed and assess ...
Purpose – This paper aims to empirically reexamine the dynamic changes in emerging market volatility...
This paper proposes a new statistical procedure which aims at providing robust estimates of volatili...
Objective – The purpose of this research is to explore the relationships among interest rate, exchan...
A great amount of research has been undertaken into the patterns of, and the contributing factors t...
Financial market is a very dynamic market, and then it will be an advantage for the industry to know...
In this study, we address whether the degree of financial liberalization affects the aggregated tota...
This study dwells on the effects of financial market liberalization and deregulation reforms of the ...
During the deepest financial crisis in mid 2007-2009, increasing volatility of Indonesian stock mark...
This paper examines the relationship between \u85nancial liberalisation and stock market volatility ...
This paper examines the relationship between financial liberalisation and stock market volatility in...
This study examines the impact of stock market liberalization on stock return volatility in the Burs...
This study examines structural breaks and the impact of financial liberalization on the volatility o...
This study analyzes the impact of stock market liberalization on emerging equity market volatility, ...
Islamic stock market is apparently different from the conventional stock market due to the prohibiti...
In this article, we test whether the structure of emerging market volatility has changed and assess ...
Purpose – This paper aims to empirically reexamine the dynamic changes in emerging market volatility...
This paper proposes a new statistical procedure which aims at providing robust estimates of volatili...
Objective – The purpose of this research is to explore the relationships among interest rate, exchan...
A great amount of research has been undertaken into the patterns of, and the contributing factors t...
Financial market is a very dynamic market, and then it will be an advantage for the industry to know...
In this study, we address whether the degree of financial liberalization affects the aggregated tota...
This study dwells on the effects of financial market liberalization and deregulation reforms of the ...
During the deepest financial crisis in mid 2007-2009, increasing volatility of Indonesian stock mark...