Causal relationship between stock market and macroeconomic variables : Indian evidence
Year of publication: |
2020
|
---|---|
Authors: | Roy, Subrata |
Published in: |
EuroEconomica. - Galaţi : Editura Universitară Danubius, ISSN 2065-3883, ZDB-ID 2543175-4. - Vol. 39.2020, 3, p. 227-247
|
Subject: | Co-integration | VECM | Causality | GDP | FDI | Export | Import | Auslandsinvestition | Foreign investment | Kausalanalyse | Causality analysis | Indien | India | Kointegration | Cointegration | Nationaleinkommen | National income | Aktienmarkt | Stock market | Bruttoinlandsprodukt | Gross domestic product | Wirtschaftswachstum | Economic growth | Börsenkurs | Share price | Schätzung | Estimation | Zeitreihenanalyse | Time series analysis | VAR-Modell | VAR model |
-
Foreign direct investment and economic growth : empirical evidence from India
Mohanasundaram, T., (2015)
-
Foreign direct investment and stock market development in Pakistan
Malik, Ihtisham Abdul, (2013)
-
Mohanty, Anil Kumar, (2024)
- More ...
-
Another look in conditioning alphas on economic information : Indian evidence
Roy, Subrata, (2016)
-
Gold & stock relation : investors’ reaction during COVID-19 outbreak
Roy, Subrata, (2020)
-
Volatility Forecasting, Market Efficiency and Effect of Recession of SRI Indices
Roy, Subrata, (2021)
- More ...