Stock market integration: A review of literature from a global perspective

G AnjanaRaju, SP Velip - 2019 - irgu.unigoa.ac.in
The relaxation of the various rules and regulations and opening the doors of financial
markets to foreign capital has helped in the global financial integration. This paper is an …

Capital market integration in some ASEAN countries revisited

R Robiyanto - Jurnal Manajemen, 2018 - ecojoin.org
Financial market integration in Southern Asia especially in ASEAN main member countries
still attractive to scrunitized. Most of these countries were devastated during severe regional …

Integration of the Indonesian Stock Market with Eight Major Trading Partners' Stock Markets

E Endri, F Fauzi, MS Effendi - Economies, 2024 - search.proquest.com
This study investigates the integration of the Indonesian stock market with eight major
trading partner countries, namely, China, Japan, the United States, Malaysia, India …

Impact of Covid-19 and macroeconomic factors on sharia stock market performance: A case study of Indonesia

AS Rusydiana, D Prakoso - Ekonomi Islam Indonesia, 2021 - journals.smartinsight.id
Macroeconomic variables strongly influence investment decisions because macroeconomic
variables can affect the stock market according to the country's economic conditions and …

The influence of global stock index and the economic indicators of stock investment decision by foreign investors in the Indonesian Stock Exchange

SR Nidar, EJ Diwangsa - Journal of Finance and Banking Review, 2017 - papers.ssrn.com
Journal of Finance and Banking Review The Influence of Global Stock Index and the
Economic Indicators of Stock Investment Decisi Page 1 Electronic copy available at: https://ssrn.com/abstract=3000715 …

RELATIONSHIP OF INDONESIA & US AGGREGATE STOCK RETURNS PRE AND POST GLOBAL FINANCIAL CRISIS (GFC)

R Arlan, AD Prasetyo, AP Pratiwi… - Eqien-Jurnal Ekonomi …, 2022 - stiemuttaqien.ac.id
This article studies the correlation and volatilities between Indonesia's stock price (JKSE)
and US's stock price (DJI, NASDAQ) aggregate return before and after The US Subprime …

TCMB Para Politikası Kararlarındaki Değişimlerin ve TCMB, FED Ve ECB Sözlü Yönlendirmelerin BIST 100 Oynaklığı Üzerindeki Etkisinin Analizi (2002-2014)

Ş Çelik, D Erer, E Erer, TC Güleç - Maliye ve Finans Yazıları, 2015 - dergipark.org.tr
Çalışmanın amacı, 02.01. 2002-17.02. 2014 dönemi için TCMB politika faiz oranlarındaki
değişimin ve 18.12. 2009-17.02. 2014 dönemi için TCMB, FED ve ECB sözlü …

ANALISIS PENGARUH PASAR MODAL ASIA DAN PANDEMI COVID-19 TERHADAP PASAR MODAL DI INDONESIA PERIODE 2013-2023

AMS Hariyanto, TD Hascaryani - Neraca: Jurnal Ekonomi …, 2024 - jurnal.kolibi.org
Penelitian ini bertujuan untuk menganalisis ulang pengaruh pasar modal Asia karena
terdapat inkonsistensi penelitian terdahulu serta melihat bagaimana pandemi Covid-19 …

The effect of global financial integration on South African bank stock risk premia: A US versus China conflict perspective

JB Mabejane - International Journal of Economics and Finance …, 2023 - agbioforum.org
This study investigates the impact of global financial integration on the risk premiums of
South African bank stocks. It analyzes the effects of the Chinese and American markets on …

Analisis Perbedaan Volatilitas Ihsg Saat Pandemi Dan Sebelum Pandemi Covid-19

R Ramadhon, P Widyartati… - JURNAL STIE …, 2022 - jurnal3.stiesemarang.ac.id
Volatilitas merupakan pengukuran statistik fluktuasi dari harga saham selama periode
tertentu. Volatilitas suatu harga saham yang tinggi menunjukkan karakteristik penawaran …