Skip to content
VuFind
Advanced
  • Relationship between stock mar...
  • Cite this
  • Print
  • Export Record
    • Export to RefWorks
    • Export to EndNoteWeb
    • Export to EndNote
Relationship between stock market volatility and macroeconomic variables volatility in Malaysia
QR Code

Relationship between stock market volatility and macroeconomic variables volatility in Malaysia

Bibliographic Details
Main Authors: Chia, Mong Yin, Foo, Ket Ann, Khoo, Chee Fong, Shi, Yee Yee, Teh, Choo Chin
Format: Final Year Project / Dissertation / Thesis
Published: 2013
Subjects:
HG Finance
Online Access:http://eprints.utar.edu.my/1031/
http://eprints.utar.edu.my/1031/1/BF%2D2013%2D0904521%2D1.pdf
  • Holdings
  • Description
  • Similar Items
  • Staff View

Internet

http://eprints.utar.edu.my/1031/
http://eprints.utar.edu.my/1031/1/BF%2D2013%2D0904521%2D1.pdf

Similar Items

  • Causal relationship between the volatility of stock market and selected macroeconomic variables: case of Malaysia
    by: Lida Nikmanesh,, et al.
    Published: (2014)
  • The relationship between stock market volatility and macroeconomics volatility in Malaysia / Mohammad Izzat Azahar
    by: Azahar, Mohammad Izzat
    Published: (2015)
  • The dynamics of macroeconomics variables and the volatility of Indonesia stock markets: evidence from Islamic and conventional stock markets
    by: Abduh, Muhamad, et al.
    Published: (2013)
  • The impact of macroeconomic variables on the Indonesian stock market volatility: conventional vis-a-vis Islamic stock market
    by: Surur, Miftaskhus, et al.
    Published: (2012)
  • Bond market volatility versus stock market volatility in Malaysia / Chia Chin Kuan.
    by: Chia, Chin Kuan
    Published: (2003)

Search Options

  • Advanced Search

Find More

  • Browse the Catalog

Need Help?

  • Search Tips