Stock return on Scandinavian stock markets and the banking industry: Evidence from the years of financial liberalisation and banking crisis
Year of publication: |
1999
|
---|---|
Authors: | Hyytinen, Ari |
Publisher: |
Helsinki : Bank of Finland |
Subject: | GARCH | conditional volatility | banking crisis | volatility spillovers |
Series: | Bank of Finland Discussion Papers ; 19/1999 |
---|---|
Type of publication: | Book / Working Paper |
Type of publication (narrower categories): | Working Paper |
Language: | English |
ISBN: | 951-686-640-9 |
Other identifiers: | hdl:10419/211850 [Handle] RePEc:zbw:bofrdp:rdp1999_019 [RePEc] |
Source: |
-
Stock Return Volatility on Scandinavian Stock Markets and the Banking Industry
Hyytinen, Ari, (1999)
-
Return and volatility spillovers: evidence from Indian exchange rates
Kumar, Manish, (2011)
-
GVS Chiranjivi, (2023)
- More ...
-
Essays on bank screening and market power in loan markets
Hyytinen, Ari, (2000)
-
Hyytinen, Ari, (1999)
-
Information production, banking competition and the market structure of the banking industry
Hyytinen, Ari, (2001)
- More ...