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Year of publication
Subject
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Börse 699 stock exchange 479 Börsenhandel 301 Stock exchange trading 296 stock market 194 financial markets 179 bond 147 financial institutions 144 bonds 143 Aktienmarkt 137 financial system 132 financial market 129 Kapitalanlage 119 government bonds 119 financial sector 117 Stock market 115 Deutschland 111 Börsenkurs 108 Share price 106 financial stability 99 capital markets 95 Bank 93 stock exchanges 92 bond market 91 capital adequacy 91 capital market 90 equity markets 90 money market 88 hedging 83 equity market 81 Stock exchange 80 hedge 78 financial services 77 international capital 77 corporate bonds 76 financial instruments 74 international standards 73 financial intermediation 72 Stock Exchange 71 derivative 71
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Online availability
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Free 498 Undetermined 138 CC license 26
Type of publication
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Book / Working Paper 1,004 Article 333 Journal 38
Type of publication (narrower categories)
All
Article in journal 172 Aufsatz in Zeitschrift 172 Wörterbuch 68 Graue Literatur 38 Non-commercial literature 38 Ratgeber 36 Hochschulschrift 35 Nachschlagewerk 25 Reference book 25 Thesis 25 Working Paper 24 Aufsatzsammlung 23 Collection of articles of several authors 23 Sammelwerk 23 Einführung 22 Guidebook 20 Dissertation u.a. Prüfungsschriften 19 Arbeitspapier 18 Article 18 Bibliografie enthalten 17 Bibliography included 17 Enzyklopädie 13 Handbook 12 Handbuch 12 Glossar enthalten 10 Glossary included 10 Konferenzschrift 10 Aufsatz im Buch 9 Book section 9 research-article 8 Festschrift 6 Lehrbuch 6 Mehrsprachiges Wörterbuch 6 Conference paper 5 Dictionary (multilingual) 5 Konferenzbeitrag 5 Statistik 5 Textbook 5 Biografie 4 Case study 4
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Language
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English 512 Undetermined 450 German 398 French 15 Spanish 9 Polish 5 Romanian 3 Italian 2 Russian 2 Lithuanian 1 Multiple languages 1 Dutch 1 Norwegian 1 Portuguese 1 Serbian 1
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Author
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Obst, Georg 21 Büschgen, Hans E. 11 Hintner, Otto 11 Mindner, Rudolf 10 Smets, Stefan 10 Wierichs, Günter 10 Erlenbach, Erich 7 Gerke, Wolfgang 7 Gotta, Frank 7 Kloten, Norbert 7 Schätzle, Rainer 7 Siebers, Alfred B. J. 7 Kostolany, André 6 Ong, Li L. 6 Arndt, Franz J. 5 Grosjean, René Klaus 5 Kurzawa, Werner 5 Prion, Willi 5 Rodrian, Heinrich 5 Rydzewska, Alina 5 Sander, Beate 5 Sornette, Didier 5 Albisetti, Emilio 4 Amely, Tobias 4 Bilitza, Karl-Heinz 4 Bortenlänger, Christine 4 Grün, Willi H. 4 Habermeier, Karl Friedrich 4 Hummel, Detlev 4 Jobst, Peter 4 Mauro, Paolo 4 Michie, Ranald C. 4 Peša, Anita Radman 4 Schalast, Christoph 4 Schanz, Kay-Michael 4 Schirmacher, Albrecht F. 4 Steden, Philip 4 Stein, Johann Heinrich von 4 Thomas, William Arthur 4 Weber, Adolf 4
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Institution
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International Monetary Fund (IMF) 267 International Monetary Fund 134 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 13 FinanzBuch Verlag 6 Bundesverband Deutscher Banken 4 European Securities and Markets Authority 3 Österreichische Bankwissenschaftliche Gesellschaft 3 Arbeitsgemeinschaft der Schutzvereinigungen für Wertpapierbesitz 2 Deutsche Börse AG 2 Deutsche Schutzvereinigung für Wertpapierbesitz 2 Directorate for Financial, Fiscal and Enterprises Affairs, Organisation de Coopération et de Développement Économiques (OCDE) 2 EconWPA 2 Edward Elgar Publishing 2 Frankfurt School of Finance and Management 2 Frankfurter Societätsdruckerei 2 Hamburger Börse 2 Handelskammer Hamburg 2 Mannheimer Bankenforum <1989> 2 Peter Lang GmbH 2 Russland 2 Russland / Služba Gosudarstvennoj Statistiki 2 Symposium zur Bankengeschichte <15, 1992, Frankfurt, Main> 2 UNIVERSIDAD EAFIT 2 Wiley-VCH 2 Arbeitsgruppe Optionsgeschäft 1 Asian Development Bank 1 Asian Development Bank (ADB) 1 Bucerius Law School 1 Bundesverband der Börsenvereine an Deutschen Hochschulen 1 Börsen-Buchverlag 1 C.E.P.R. Discussion Papers 1 Centre Interuniversitaire de Recherche en Analyse des Organisations (CIRANO) 1 Centre de Sociologie de l'Innovation (CSI), MINES ParisTech 1 Commercial Union Assurance Company Ltd. 1 Commerzbank 1 Commerzbank <Frankfurt, Main> 1 Cook, Rowan M, Banking & Finance, Australian School of Business, UNSW 1 Deutsche Bank <Frankfurt am Main> 1 Deutsche Bank <Frankfurt, Main> 1 Deutsche Börse AG <Frankfurt, Main> 1
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Published in...
All
IMF Working Papers 131 IMF Staff Country Reports 120 MPRA Paper 13 IMF Occasional Papers 10 Theoretical and Applied Economics 8 International journal of economics and financial issues : IJEFI 7 Taschenbücher für Geld, Bank und Börse 7 Heyne-Bücher / 22 6 Taschenbücher für Geld, Bank und Börse : GBB 6 Бизнес Информ 6 Annales Universitatis Mariae Curie-Skłodowska 5 Annals of the University of Petrosani, Economics 4 Business Inform 4 Economy and forecasting : scientific journal 4 International Journal of Energy Economics and Policy : IJEEP 4 Lehr- und Handbücher zu Geld, Börse, Bank und Versicherung 4 Ovidius University Annals, Economic Sciences Series 4 SpringerLink / Bücher 4 Annals of Faculty of Economics 3 Aus- & Weiterbildung 3 Comparative economic research : Central and Eastern Europe 3 Der Aktionär / Edition 3 Econ-Taschenbuch 3 Finance India : the quarterly journal of Indian Institute of Finance 3 Folia Oeconomica Stetinensia 3 Folia oeconomica Stetinensia : FOS 3 International journal of economics and finance 3 Journal of Private Enterprise 3 Journal of economics & management 3 Schriften zum Bank- und Börsenwesen 3 Springer eBook Collection / Business and Economics 3 Theoretical economics letters 3 ... für Dummies 2 AEI studies 2 Accounting, Economics, and Law : AEL ; a convivium 2 Advances in Chinese economic studies series 2 Asian Economic and Financial Review 2 Bank- und Börsenwesen 2 Betriebswirtschaftliche Forschungsbeiträge 2 Brussels Economic Review 2
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Source
All
ECONIS (ZBW) 587 RePEc 430 USB Cologne (EcoSocSci) 307 EconStor 25 Other ZBW resources 13 BASE 8 ArchiDok 4 USB Cologne (business full texts) 1
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Showing 1 - 50 of 1,375
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Selección de acciones de la Bolsa Mexicana de Valores con enfoque ambiental, social y de gobernanza
Muñoz-Palma, Manuel; Alvarez Carrillo, Pavel A.; … - In: Revista de Métodos Cuantitativos para la Economía y … 39 (2025), pp. 1-16
La investigación tiene como objetivo dar soporte para la toma de decisiones en el problema de evaluación y selección de acciones de la Bolsa Mexicana de Valores (BMV) con un enfoque de gobernanza, social y ambiental. El problema se analiza desde un enfoque jerárquico multicriterio para la...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015441370
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Selección de acciones de la Bolsa Mexicana de Valores con enfoque ambiental, social y de gobernanza
Muñoz-Palma, Manuel; Alvarez Carrillo, Pavel A.; … - In: Revista de métodos cuantitativos para la economía y … 39 (2025), pp. 1-16
The research aims to support decision-making in selecting shares of companies listed in the Mexican Stock Exchange with the environmental, social and governance approach. The problem is analyzed from a multi-criteria hierarchical approach to decision-making, applying the ELECTRE III method and...
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Disclosure quality ratings by the stock exchanges : evidence from China
Yang, Shuo; Zhao, Jingran - In: China Accounting and Finance Review 27 (2025) 3, pp. 340-363
Purpose - The stock exchanges in China assess firms' disclosure quality annually according to a grading sheet. The grading sheet evaluates mandatory and voluntary disclosures, investor relations, and compliance with and violations of securities laws; some items are publicly observable, others...
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Analysis of the rates of return on investments in socially responsible companies with the example of the WIG-ESG index
Muszyński, Mateusz; Podgórski, Krzysztof - In: Folia Oeconomica Stetinensia 25 (2025) 1, pp. 218-239
Research background: The ecological transformation has contributed to the increased importance of socially responsible investments. In the theoretical part of the paper, the issues of CSR and ESG were mentioned, and a literature review was performed. The empirical part presents the results of...
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Data Analysis for Risk Management – Economics, Finance and Business
Jajuga, Krzysztof (contributor);  … - 2024
This reprint concerns methods of data analysis for risk management in economics, finance, and business. The presented papers contain research on data analysis methods, including classical statistical methods, and machine learning methods that have emerged from statistics and are being...
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Critical perspectives of organisational behaviour towards stakeholders through the application of corporate governance principles
Luca, Florin-Alexandru; Tiganas, Claudiu-Gabriel; … - In: Administrative Sciences 14 (2024) 5, pp. 1-20
Corporate governance is gaining interest not only from investors but companies that want to operate in international markets, prompting a more thorough analysis of the field to prioritise stakeholder interests alongside shareholder value. By adopting a holistic approach that considers...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015424399
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Effects of financial characteristics on accounting conservatism of listed companies in Vietnam stock exchange
Hong, Nguyen Thi Phuong; My, Phan Thi Tra - In: Cogent Business & Management 11 (2024) 1, pp. 1-24
The research objectives is to analyze factors impacting on accounting conservatism such as growth opportunity, return on equity, sales growth, return on assets, capital intensity, investment opportunity, financial distress, financial leverage, global diversification and uncertainty environment....
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How did the stock exchange respond to geopolitical events? : evidence from the former Yugoslav Republics
Inđić, Milica; Pjanić, Miloš; Kalaš, Branimir - In: Ekonomske teme 62 (2024) 2, pp. 203-218
: The start of the war in Ukraine on February 24, 2022 had a number of adverse financial impacts on markets and the world economy. Given that there is currently a lack of sufficient empirical evidence on the real effects of the conflict in Ukraine on financial markets, the aim of the paper is to...
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The introduction of the euro and its impact on firm performance : the evidence of Croatia
Kramarić, Tomislava Pavić; Miletić, Marko - In: Financial internet quarterly 20 (2024) 4, pp. 85-95
This study examines the impact of the introduction of the euro on firm performance of nonfinancial firms listed on the Croatian capital market. Croatia adopted the euro as its sole legal tender on January 1, 2023, becoming the 20th member of the euro area. While the macroeconomic effects of euro...
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Critical perspectives of organisational behaviour towards stakeholders through the application of corporate governance principles
Luca, Florin-Alexandru; Tiganas, Claudiu-Gabriel; … - In: Administrative Sciences : open access journal 14 (2024) 5, pp. 1-20
Corporate governance is gaining interest not only from investors but companies that want to operate in international markets, prompting a more thorough analysis of the field to prioritise stakeholder interests alongside shareholder value. By adopting a holistic approach that considers...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10014554015
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Analyzing the impact of quality of public governance on the market value of companies listed on the Amman Stock Exchange
Qwader, Amjad S. - In: International journal of economics and financial issues … 14 (2024) 1, pp. 28-38
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Determinants of share prices of agriculture listed firms
Abel, Sanderson; Henry, Muleya; Mokumako, Tebogo; … - In: International journal of economics and financial issues … 14 (2024) 4, pp. 106-110
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Effects of financial characteristics on accounting conservatism of listed companies in Vietnam stock exchange
Nguyen Thi Phuong Hong; Phan Thi Tra My - In: Cogent business & management 11 (2024) 1, pp. 1-24
The research objectives is to analyze factors impacting on accounting conservatism such as growth opportunity, return on equity, sales growth, return on assets, capital intensity, investment opportunity, financial distress, financial leverage, global diversification and uncertainty environment....
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10014536207
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The introduction of the euro and its impact on firm performance: The evidence of Croatia
Kramarić, Tomislava Pavić; Miletić, Marko - In: Financial Internet Quarterly 20 (2024) 4, pp. 85-95
This study examines the impact of the introduction of the euro on firm performance of nonfinancial firms listed on the Croatian capital market. Croatia adopted the euro as its sole legal tender on January 1, 2023, becoming the 20th member of the euro area. While the macroeconomic effects of euro...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10015471936
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The impact of social responsibility on the efficiency and profitability of banks: (Case of Banks Listed in Tehran Stock Exchange)
Dehghan Khavari, Saeed; Abdorrahimian, Mohammadhossein; … - In: Journal of Money and Economy 18 (2023) 3, pp. 371-385
Providing financial services for social projects represents corporate social responsibility (CSR), because it indicates ethical commitment for creating better social environment. It improves public image and loyalty of customers, increases the commercial value of the trademark, promote public...
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COVID-19 and tourism sector stock price in Spain : medium-term relationship through dynamic regression models
Carrillo-Hidalgo, Isabel; Pulido-Fernández, Juan Ignacio; … - In: Financial innovation : FIN 9 (2023) 1, pp. 1-24
The global pandemic, coronavirus disease 2019 (COVID-19), has significantly affected tourism, especially in Spain, as it was among the first countries to be affected by the pandemic and is among the world's biggest tourist destinations. Stock market values are responding to the evolution of the...
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The impact of ESG ratings on the market performance of commodity stock sector before and during the COVID-19 pandemic
Gawęda, Adrian; Złoty, Marcin - In: Ekonomia i prawo 22 (2023) 3, pp. 531-553
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Oil exports, political issues, and stock market nexus
Asaad, Zeravan Abdulmuhsen; Al-Delawi, Amjad Saber; … - In: International Journal of Energy Economics and Policy : IJEEP 13 (2023) 1, pp. 362-373
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Death on the stock exchange : the fate of the 1948 population of large UK quoted companies, 1948-2018
Meeks, Geoffrey; Whittington, Geoffrey - In: Business history 65 (2023) 4, pp. 679-698
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The impact of the stock market on liquidity and economic growth : evidence of volatile market
Chikwira, Collin; Jahed, Iqbal Mohammed - In: Economies : open access journal 11 (2023) 6, pp. 1-19
Stock markets serve as a conduit for money and liquidity, which are necessary for economic growth and stability. This study aimed to determine whether stock market impacts are communicated in an economically unstable environment, characterised by volatility, high inflation rates, and political...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10014320924
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The impact of the stock market on liquidity and economic growth: Evidence of volatile market
Chikwira, Collin; Jahed, Iqbal Mohammed - In: Economies 11 (2023) 6, pp. 1-19
Stock markets serve as a conduit for money and liquidity, which are necessary for economic growth and stability. This study aimed to determine whether stock market impacts are communicated in an economically unstable environment, characterised by volatility, high inflation rates, and political...
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Cross-listed share volatility of multinational enterprises : insights from stock exchanges in the Middle East
Temouri, Yama; Wijeweera, Albert - In: Review of international business and strategy 35 (2025) 4, pp. 423-435
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Board composition, ownership structure and dividend policy : evidence from NSE listed companies in India
Kaur, Jasmeet; Kaur, Karamjeet - In: International journal of law and management 67 (2025) 3, pp. 392-408
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Liquidity provision on blockchain-based decentralized exchanges
Capponi, Agostino; Jia, Ruizhe - In: The review of financial studies 38 (2025) 10, pp. 3040-3085
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Sexism in the City : women stockbrokers in modern Britain
Taylor, James - 2025
"Sexism in the city is the first book to trace the history of women stockbrokers in the United Kingdom from the late nineteenth to the late twentieth centuries. Forgotten pioneers, these businesswomen fought against the odds to establish successful brokerages across the country and in the...
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ICT adoption and stock market development: Empirical evidence using a panel of African countries
Igwilo, Jerry Ikechukwu; Sibindi, Athenia Bongani - In: Risks 10 (2022) 2, pp. 1-17
The aim of this study was to examine the impact of adopting information and communication technologies (ICT) on the development of African stock exchanges. The study examined a panel of 11 African stock exchanges for the period 2008-2017 and employed the generalised method of moments (GMM) to...
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El Leviatán domesticado : las relaciones entre el capital financiero y el estado
Pierre, Matari - 2022 - Primera edición
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How "matter matters" for morality : the case of a stock exchange
Roscoe, Philip - In: Human relations : towards the integration of the social … 75 (2022) 3, pp. 475-501
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ICT adoption and stock market development : empirical evidence using a panel of African countries
Igwilo, Jerry Ikechukwu; Sibindi, Athenia Bongani - In: Risks : open access journal 10 (2022) 2, pp. 1-17
The aim of this study was to examine the impact of adopting information and communication technologies (ICT) on the development of African stock exchanges. The study examined a panel of 11 African stock exchanges for the period 2008-2017 and employed the generalised method of moments (GMM) to...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012805909
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The influence that collective bargaining represents on companies listed on the Colombian stock exchange : an empirical analysis
Sabater Marcos, Ana María; González-Cortés, Luz D.; … - In: Revista de Contabilidad 25 (2022) 2, pp. 190-200
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An efficient method for pricing analysis based on neural networks
Arabyat, Yaser Ahmad; AlZubi, Ahmad Ali; Aldebei, Dyala M. - In: Risks : open access journal 10 (2022) 8, pp. 1-14
The revolution in neural networks is a significant technological shift. It has an impact on not only all aspects of production and life, but also economic research. Neural networks have not only been a significant tool for economic study in recent years, but have also become an important topic...
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Blockchain technology for reshaping stock exchanges : a qualitative exploratory study in Palestine
Aburidi, Asia - In: Arab economic and business journal 14 (2022) 1, pp. 47-61
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Can the Heston model forecast energy generation? : a systematic literature review
Reichert, Bianca; Souza, Adriano Mendonça de - In: International Journal of Energy Economics and Policy : IJEEP 12 (2022) 1, pp. 289-295
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Securities trading in an emerging market : Indonesia, 1890s-1950s
Eng, Pierre van der - 2022
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Using quantum spherical fuzzy decision support system as a novel sustainability index approach for analyzing industries listed in the stock exchange
Kayacık, Mahmut; Dinçer, Hasan; Yüksel, Serhat - In: Borsa Istanbul Review 22 (2022) 6, pp. 1145-1157
This study aims to identify critical factors of the sustainability index (SI) and evaluate the industries listed in the stock exchange based on the performance of this index. For this purpose, a new fuzzy decision-making model has been created. Firstly, 12 different criteria for the SI are...
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F.A.Z.-Börsenlexikon
Hock, Martin (ed.) - 2024 - 1. Auflage
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Impact of tax accounting on earnings management of BSE 200 companies
Lodha, Shilpa - In: Finance India : the quarterly journal of Indian … 38 (2024) 3, pp. 665-676
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Islamic equities and COVID-19 pandemic: Measuring Islamic stock indices correlation and volatility in period of crisis
Abdullahi, Shafiu Ibrahim - In: Islamic Economic Studies (IES) 29 (2021) 1, pp. 50-66
Purpose The purpose of the study is to measure cross-country stock market correlation and volatility transmission during the global coronavirus disease 2019 (COVID-19) pandemic. The paper traces trajectory of Islamic equity investments in order to get insights on the behavior of the markets...
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Multi-factorized semi-covariance of stock markets and gold price
Shi, Yun; Yang, Lin; Huang, Mei; Huang, Jun Steed - In: Journal of Risk and Financial Management 14 (2021) 4, pp. 1-11
Complex models have received significant interest in recent years and are being increasingly used to explain the stochastic phenomenon with upward and downward fluctuation such as the stock market. Different from existing semi-variance methods in traditional integer dimension construction for...
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Exchange traded funds: U.S. financial market case study
Tkaczow, Aleksandra; Spirzewsk, Krzysztof - 2021
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From national marketplaces to global providers of financial infrastructures : exchanges, infrastructures and structural power in global finance
Petry, Johannes - In: New political economy 26 (2021) 4, pp. 574-597
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Multi-factorized semi-covariance of stock markets and gold price
Shi, Yun; Yang, Lin; Huang, Mei; Huang, Jun Steed - In: Journal of risk and financial management : JRFM 14 (2021) 4, pp. 1-11
Complex models have received significant interest in recent years and are being increasingly used to explain the stochastic phenomenon with upward and downward fluctuation such as the stock market. Different from existing semi-variance methods in traditional integer dimension construction for...
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10012520959
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Islamic equities and COVID-19 pandemic : measuring Islamic stock indices correlation and volatility in period of crisis
Abdullahi, Shafiu Ibrahim - In: Islamic economic studies 29 (2021) 1, pp. 50-66
Purpose The purpose of the study is to measure cross-country stock market correlation and volatility transmission during the global coronavirus disease 2019 (COVID-19) pandemic. The paper traces trajectory of Islamic equity investments in order to get insights on the behavior of the markets...
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Prospects and limitations in the modernization of securities settlement operations in Ukraine
Shyshkov, Stanislav - In: Economy and forecasting : scientific journal (2021) 1, pp. 69-101
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Profitability of investment strategies developed on the basis of buy and sell recommendations
Wnuczak, Paweł - In: Journal of economics & management 43 (2021) 1, pp. 317-338
Aim/purpose - The paper has two objectives. The first is to examine the profitability of applying investment strategies based on "buy" and "sell" recommendations issued by stock market analysts. The second objective is to validate that analysts who issue a recommendation may not be impartial...
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Effects of integrated reporting on the cost of capital and analysts' forecasts errors : a study of Johannesburg Stock Exchange listed mining firms
Ngcobo, Bhekisisa N.; Sibanda, Mabutho - In: Journal of economic and financial sciences : JEF 14 (2021) 1, pp. 1-11
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How to build a stock exchange : the past, present and future of finance
Roscoe, Philip - 2023
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The relationship of financial performance and stock returns in countries under economic sanctions
Gholizadeh, Aliakbar; Seresht, Davood Jafari; Bayat, Zahra - In: Journal of asset management : a major new, … 24 (2023) 1, pp. 16-26
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How to build a stock exchange : the past, present and future of finance
Roscoe, Philip - 2023
Exploring the development of stock exchanges, markets and the links with states, in this book Roscoe offers a cautionary tale about the drive of financial markets towards expropriation, capture and exclusion and wonders what the future for finance might be, and how we might get there.
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10014480770
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A review on unprecedented influence of COVID-19 on stock market : what communities should know?
Lamba, Jonika; Jain, Esha - In: Journal of enterprising communities : people and places … 17 (2023) 6, pp. 1088-1117
Persistent link: https://www.econbiz.de, ebvufind01.dmz1.zbw.eu/10014432830
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