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International financial market integration
Part I: Introduction and Overview 1. Assessing Capital Market Segmentation 2. International Financial Markets Integration 3. An Overview of Japanese Finance 4. International Integration of the CIS and Baltic States Emanating from the USSR Part II: Banking and Monetary Integration 5. A North American Free Trade Area 6. The Foreign and Domestic Balance Sheet Strategies of U.S. Banks in a Changing Environment 7. International Financial Market Integration and Commercial Banks 8. The European Monetary System and Financial Market Integration 9. A Study of International Financial Market Integration Part III: Equity Market Integration 10. The World Price of Covariance Risk 11. Are National Stock Markets Linked? 12. International Transmission of Stock Market Movements 13. Unit Root and Cointegration Tests of World Stock Prices 14. Financial Market Integration and Cointegration Tests 15. Dynamic Relationships among the Daily Levels of National Stock Indexes 16. International Behavior of Stock Prices on Monday 17. International Capital Markets 18. The Combined Effects of International Listing on the Security Market Line and Systematic Risk for U.S. Listings on the London and Tokyo Stock Exchanges 19. Weekly Return and Variance Patterns in U.K and Japanese Stock Index Futures Markets.
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