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Parallels with the 1920s Stock Market Boom and the Monetary Policy
Credit and Capital Markets – Kredit und Kapital, Vol. 35 (2002), Iss. 4 : pp. 533–549
Contractual savings or stock market development: which leads?
Journal of Contextual Economics – Schmollers Jahrbuch, Vol. 120 (2000), Iss. 3 : pp. 445–487
The Time Variation of Liquidity Risk on US Stock Markets
Credit and Capital Markets – Kredit und Kapital, Vol. 51 (2018), Iss. 2 : pp. 205–225
Market Maker unter Wolken – Wettereffekte am deutschen Aktienmarkt
Credit and Capital Markets – Kredit und Kapital, Vol. 42 (2009), Iss. 3 : pp. 413–433
Effekte von Fusionen in Kontinentaleuropa und Deutschland
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 70 (2001), Iss. 2 : pp. 204–213
Foreign Direct Investments in the German Stock Market from China and the Gulf States
Credit and Capital Markets – Kredit und Kapital, Vol. 54 (2021), Iss. 4 : pp. 563–587
Initial Returns and Long-Term Performance of IPOs in China 2001–2011. Evidence on the Influence of the Institutional and Economic Context from the Shanghai Stock Exchange
Credit and Capital Markets – Kredit und Kapital, Vol. 48 (2015), Iss. 2 : pp. 309–342
Could State-Controlled Media Stabilize the Market during the U.S.-China Trade Frictions?
Credit and Capital Markets – Kredit und Kapital, Vol. 55 (2022), Iss. 2 : pp. 153–201
Exchange Market Pressure and Stock-Price Spillovers in Emerging Markets
Applied Economics Quarterly, Vol. 60 (2014), Iss. 1 : pp. 41–74
The Alternative Three-Factor Model: Evidence from the German Stock Market
Credit and Capital Markets – Kredit und Kapital, Vol. 51 (2018), Iss. 3 : pp. 389–420
Volatility Bounds for Stochastic Discount Factors on Global Stock Markets
Journal of Contextual Economics – Schmollers Jahrbuch, Vol. 123 (2003), Iss. 4 : pp. 471–500
Stock Market Volatility and Deviations from Macroeconomic Fundamentals: Evidence from GARCH and GARCH-X Models
Credit and Capital Markets – Kredit und Kapital, Vol. 31 (1998), Iss. 3 : pp. 400–412
Exchange Rate Movements and International Interdependence of Stock Markets
Credit and Capital Markets – Kredit und Kapital, Vol. 23 (1990), Iss. 4 : pp. 496–532
(How) Do Stock Market Returns React to Monetary Policy? An ARDL Cointegration Analysis for Germany
Credit and Capital Markets – Kredit und Kapital, Vol. 39 (2006), Iss. 3 : pp. 335–365
Stock Market Growth Expectations, Risk Perceptions, and Ex-Ante Returns Under Uncertain Stagflation
Credit and Capital Markets – Kredit und Kapital, Vol. 20 (1987), Iss. 3 : pp. 335–357
The Message in Daily West German Stock Prices: Empirical Evidence Using GARCH
Credit and Capital Markets – Kredit und Kapital, Vol. 27 (1994), Iss. 3 : pp. 348–362
Will the DAX 50 ESG Establish the Standard for German Sustainable Investments? A Sustainability and Financial Performance Analysis
Credit and Capital Markets – Kredit und Kapital, Vol. 53 (2020), Iss. 4 : pp. 461–491
The Impact of Media Attention on the Illiquidity of Stocks: Evidence from the Global FinTech Sector
Credit and Capital Markets – Kredit und Kapital, Vol. 54 (2021), Iss. 4 : pp. 589–639
Systemic Usury and the European Consumer Credit Directive
Vierteljahrshefte zur Wirtschaftsforschung, Vol. 89 (2020), Iss. 1 : pp. 115–132