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Stock Markets Dynamic Linkages: Evid...
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al-Faleh, Ammer.
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Stock Markets Dynamic Linkages: Evidence from the Middle East and North Africa.
紀錄類型:
書目-電子資源 : Monograph/item
正題名/作者:
Stock Markets Dynamic Linkages: Evidence from the Middle East and North Africa./
作者:
al-Faleh, Ammer.
面頁冊數:
167 p.
附註:
Source: Dissertation Abstracts International, Volume: 77-08(E), Section: A.
Contained By:
Dissertation Abstracts International77-08A(E).
標題:
Economics. -
電子資源:
http://pqdd.sinica.edu.tw/twdaoapp/servlet/advanced?query=10042224
ISBN:
9781339550497
Stock Markets Dynamic Linkages: Evidence from the Middle East and North Africa.
al-Faleh, Ammer.
Stock Markets Dynamic Linkages: Evidence from the Middle East and North Africa.
- 167 p.
Source: Dissertation Abstracts International, Volume: 77-08(E), Section: A.
Thesis (Ph.D.)--The Claremont Graduate University, 2016.
Recent regional political crises and a global oil glut have subjected stock markets in the Middle East and North Africa to regional and global shocks. The magnitude and signs of these shocks, and the transmission mechanisms that carry them to an array of relatively local stock markets are likely different based on the economic structure of the economies of their host nations and the strength of regional economic and political ties. Only a few studies have tested the influence of regional and global shocks on MENA stock markets. This study investigates the interdependence within this regional bloc and between regional and developed nations' markets in the contexts of six global and regional shocks.
ISBN: 9781339550497Subjects--Topical Terms:
517137
Economics.
Stock Markets Dynamic Linkages: Evidence from the Middle East and North Africa.
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167 p.
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Source: Dissertation Abstracts International, Volume: 77-08(E), Section: A.
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Adviser: Thomas Willett.
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Thesis (Ph.D.)--The Claremont Graduate University, 2016.
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Recent regional political crises and a global oil glut have subjected stock markets in the Middle East and North Africa to regional and global shocks. The magnitude and signs of these shocks, and the transmission mechanisms that carry them to an array of relatively local stock markets are likely different based on the economic structure of the economies of their host nations and the strength of regional economic and political ties. Only a few studies have tested the influence of regional and global shocks on MENA stock markets. This study investigates the interdependence within this regional bloc and between regional and developed nations' markets in the contexts of six global and regional shocks.
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It finds that there is normally strong regional interdependence due to the economic structures and political ties between countries, but interdependence with global markets is low. When crises occur, however, these markets are vulnerable to both global and regional shocks, and the magnitude of the shocks is rather stronger from global than regional crises. Thus, there is less potential benefit of risk reduction in investing across regional markets during periods of political or economic turmoil. That said, equity diversification on a global level would likely improve investment returns when regional shocks occur.
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