Results: 6
ON THE RELATIONSHIP BETWEEN ECONOMIC POLICY UNCERTAINTY, GEOPOLITICAL RISK AND STOCK MARKET RETURNS IN SOUTH KOREA: A QUANTILE CAUSALITY ANALYSIS.
- Published in:
- Annals of Financial Economics, 2022, v. 17, n. 1, p. 1, doi. 10.1142/S2010495222500087
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- Publication type:
- Article
THE EFFECTS OF SELECTED FINANCIAL RATIOS ON PROFITABILITY: AN EMPIRICAL ANALYSIS OF REAL ESTATE FIRMS IN VIETNAM.
- Published in:
- Annals of Financial Economics, 2022, v. 17, n. 1, p. 1, doi. 10.1142/S2010495222500063
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- Publication type:
- Article
IMPACT OF COVID-19 ON VOLATILITY SPILLOVERS ACROSS INTERNATIONAL MARKETS: EVIDENCE FROM VAR ASYMMETRIC BEKK GARCH MODEL.
- Published in:
- Annals of Financial Economics, 2022, v. 17, n. 1, p. 1, doi. 10.1142/S201049522250004X
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- Publication type:
- Article
MODELING STOCK PRICE MOVEMENTS PREDICTION BASED ON NEWS SENTIMENT ANALYSIS AND DEEP LEARNING.
- Published in:
- Annals of Financial Economics, 2022, v. 17, n. 1, p. 1, doi. 10.1142/S2010495222500038
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- Publication type:
- Article
CONTAGION ACROSS FINANCIAL MARKETS DURING COVID-19: A LOOK AT VOLATILITY SPILLOVERS BETWEEN THE STOCK AND FOREIGN EXCHANGE MARKETS IN SOUTH AFRICA.
- Published in:
- Annals of Financial Economics, 2022, v. 17, n. 1, p. 1, doi. 10.1142/S2010495222500026
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- Publication type:
- Article
REVISITING INFLATION-GROWTH NEXUS: AN ENDOGENOUS GROWTH MODEL WITH FINANCIAL FRICTIONS.
- Published in:
- Annals of Financial Economics, 2022, v. 17, n. 1, p. 1, doi. 10.1142/S2010495222500014
- By:
- Publication type:
- Article