Keywords: Asia
Close
Follow your search
Access your saved searches in your account

Would you like to receive an alert when new items match your search?
Close Modal
Sort by
Journal Articles
Journal Articles
Managerial Finance (2011) 37 (5): 442–450.
Published: 19 April 2011
... and methodology. In Section IV, results are presented and discussed. We summarize and conclude in Section V. To examine the volatility transmission of stock prices across Asia, Europe, and North America, we selected Japan, the UK, and the USA as the representative countries for each of three continents...
Journal Articles
Managerial Finance (2007) 33 (9): 710–740.
Published: 07 August 2007
... the enhanced uncertainty about the future performance of US multinationals active in Asia resulted in an increased stock return variability. The second step separates the impact of increased exchange rate variability on the stock return volatility of US multinationals into systematic and diversifiable risk...
Journal Articles
Journal Articles
Journal Articles
Managerial Finance (2003) 29 (4): 1–23.
Published: 01 May 2003
... of the stock market linkages across six newly industrialized countries (NIC’s) of Asia, and documents the role of Japan and the US in this region. Primarily, the study finds that there are significant stock market linkages among the emerging equity markets of Hong Kong, India, Korea, Malaysia, Singapore...
Journal Articles
Managerial Finance (2003) 29 (4): 62–86.
Published: 01 May 2003
... degree of convergence among the returns of Asian markets. Accounting research Stock markets Share prices Cointegration Crisis Asia Volume 29 Number 4 2003 62 Asian Financial Crisis: The Pre- and Post-Crisis Analysis of Asian Equity Markets by Amitava Chatterjee, JHJ School of Business, Texas...
Journal Articles
Managerial Finance (2001) 27 (1-2): 62–81.
Published: 01 January 2001
... changed the picture completely. Indeed, from 10 September 1997 onwards, the stock markets were swamped with unpredictable returns and high volatility. The situation in the Asian region was particularly severe and for the first time negative average returns were common in Asia. At the same time...
Journal Articles
Managerial Finance (2000) 26 (4): 16–27.
Published: 01 April 2000
... to total debt is the most important indicator. Discusses the implications for the policies of developing countries and warns that “the hot‐bed for...financial crises still exists”. © MCB UP Limited 2000 Debt International trade Currencies Crises China Asia Managerial Finance 16...
Journal Articles
Managerial Finance (2000) 26 (4): 49–56.
Published: 01 April 2000
... Currencies Crises Crisis management Hong Kong Asia Volume 26 Number 4 2000 49 Is A Currency Board An Answer To Asia s Currency Crisis? by Kang H. Park, Professor of Economics, Southeast Missouri State University, Cape Girardeau Abstract This paper examines the feasibility of adopting a currency board...
Journal Articles
Managerial Finance (2000) 26 (3): 51–74.
Published: 01 March 2000
... that Japanese underwriters lead in currency securities and US underwriters in interest rate securities. Provides a glossary of technical terms. © MCB UP Limited 2000 Accounting research Derivatives Securities markets Financial institutions Europe USA Asia Japan Volume 26 Number 3 2000 51...
Journal Articles
Managerial Finance (2000) 26 (1): 1–13.
Published: 01 January 2000
...Nader H. Shooshtari; Maureen J. Fleming; Jeffrey P. Radighieri; Carl‐Christian Nitzsche Outlines the development of the Asia Pacific Economic Co‐operation Forum (APEC), which began as a deliberately informal discussion group in 1989, and traces the evolution of its membership and organizational...

or Create an Account

Close subscription notice
Close access options