How volatility affects the behaviour of institutional investors in emerging markets
Year of publication: |
2022
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Authors: | Srivastava, Purwa ; Varshney, Sakshi |
Published in: |
Global business & economics review. - Olney, Bucks : Inderscience Enterprises, ISSN 1745-1329, ZDB-ID 2231575-5. - Vol. 27.2022, 1, p. 43-71
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Subject: | banks | development financial institution | DFI | insurance companies | mutual funds | stock market volatility | vector autoregressive model | Institutioneller Investor | Institutional investor | Volatilität | Volatility | Schwellenländer | Emerging economies | Investmentfonds | Investment Fund | Aktienmarkt | Stock market | Versicherung | Insurance | Finanzmarkt | Financial market | Bank | Anlageverhalten | Behavioural finance | VAR-Modell | VAR model |
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