Country financial risk and stock market performance : the case of Latin America
Year of publication: |
2004
|
---|---|
Authors: | Clark, Ephraim ; Kassimatis, Konstantinos |
Published in: |
Journal of economics & business. - Amsterdam [u.a.] : Elsevier, ISSN 0148-6195, ZDB-ID 716757-X. - Vol. 56.2004, 1, p. 21-41
|
Subject: | Aktienmarkt | Stock market | Länderrisiko | Country risk | Risikoprämie | Risk premium | Brasilien | Brazil | Argentinien | Argentina | Chile | Kolumbien | Colombia | Mexiko | Mexico | Venezuela | 1985-1997 |
-
Determinants of emerging market bond spreads : an empirical investigation
Beck, Roland, (2003)
-
Sovereign debt and default : an empirical analysis
Comboni, Javier S., (1992)
-
Sources of growth : a study of seven Latin American economies
Elías, Víctor Jorge, (1992)
- More ...
-
The effect of country default risk on foreign direct investment
Clark, Ephraim, (2009)
-
Making inefficient market indices efficient
Clark, Ephraim, (2011)
-
An empirical analysis of marginal conditional stochastic dominance
Clark, Ephraim, (2012)
- More ...