Catálogo de publicaciones - libros

Compartir en
redes sociales


Título de Acceso Abierto

International Financial Markets and Monetary Policy

Resumen/Descripción – provisto por la editorial

No disponible.

Palabras clave – provistas por la editorial

Taylor rule fundamentals; exchange rate; out-of-sample; forecast; random walk; directional accuracy; financial crisis; twin deficit hypothesis; budget balance; current account balance; MENA region; oil countries; non-oil countries; PVAR modeling; financial-crisis; South-East Asia; event driven; fund performance; efficient market hypothesis; adaptive market hypothesis; behavioral finance; market conditions; Markov switching model; threshold VAR; global inflation; inflation; financial global; finance liquidity; commodity; BRVM; WAEMU; regional stock exchange; economic growth; developing countries; currency; export; stock returns; triple regime-switching model; Vietnam; TASI; unit root; granger causality; sectoral indices; Sharia investment; Jakarta Islamic Index (JKII) price; loss risk; geometric Brownian motion; Value at Risk; exchange; exchange theory; money; money theory; power; financial inclusion; commercial banks; financial services; profitability; financial leverage; Jordan; cryptocurrency; blockchain; survival function; risk; weight; hazard ratio; commodity price shocks; banking sector stability; panel data; Africa; time series; vector autoregressiion; pandemic; COVID-19; unemployment rate

Disponibilidad
Institución detectada Año de publicación Navegá Descargá Solicitá
No requiere Directory of Open access Books acceso abierto

Información

Tipo de recurso:

libros

País de edición

Suiza

Cobertura temática