Emerging Markets: Stock Market Investing with Political Risk

2001 ◽  
Author(s):  
Ephraim Alois Clark ◽  
Radu Tunaru
2021 ◽  
pp. 102350
Author(s):  
Walid Bakry ◽  
Peter John Kavalmthara ◽  
Vivienne Saverimuttu ◽  
Yiyang Liu ◽  
Sajan Cyril

2017 ◽  
Vol 13 (1-2) ◽  
pp. 52-69
Author(s):  
Gagan Deep Sharma ◽  
Mrinalini Srivastava ◽  
Mansi Jain

This article examines the relationship between six macroeconomic variables and stock market returns of 13 emerging markets from Latin America, Europe, Africa and Asia in the context of global financial crisis of 2008. The findings reveal some commonality in determination and variation of returns with macroeconomic variables from pre-crisis (1st January 2005–31st March 2009) to post-crisis period (1st April 2009–31st March 2016). Further, results show co-integration among most of the macroeconomic variables depicting significant implications for investors and policymakers.


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