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Asia-Pacific financial markets : integration, innovation and challenges / edited by Suk-Joong Kim and Michael D. McKenzie.

Contributor(s): Material type: TextTextSeries: International finance review ; v. 8.Publication details: Amsterdam ; Oxford : Elsevier JAI, 2008.Edition: 1st edDescription: 1 online resource (1 volume)Content type:
  • text
Media type:
  • computer
Carrier type:
  • online resource
ISBN:
  • 9781849505147
  • 1849505144
  • 9780080556611
  • 0080556612
Subject(s): Genre/Form: Additional physical formats: Print version:: Asia-Pacific financial markets.DDC classification:
  • 332.6425 22
LOC classification:
  • HG5589.55.A78 A85 2008eb
Online resources:
Contents:
Front cover; Asia-Pacific Financial Markets: Integration, Innovation and Challenges; Copyright page; Contents; List of Contributors; Editorial Advisory Board; About the Series; Part I: An Overview; Chapter 1. Introduction to Asia-Pacific Financial Markets: Integration, Innovation and Challenges; Part II: Asia-Pacific Stock Market Integration; Chapter 2. A New Approach for Estimating Relationships Between Stock Market Returns: Evidence of Financial Integration in the Southeast Asian Region; Chapter 3. Correlation Dynamics Between Asia-Pacific, EU and US Stock Returns
Chapter 4. Conditional Autocorrelation and Stock Market Integration in the Asia-PacificChapter 5. The Impact of the Opening up of the B-Share Markets on the Integration of Chinese Stock Markets; Chapter 6. A Single Currency for ASEAN-5: An Empirical Study of Economic Convergence and Symmetry; Part III: Bubbles and Spillovers; Chapter 7. Periodically Collapsing Bubbles in the Asian Emerging Stock Markets; Chapter 8. Currency Crises in Asia: A Multivariate Logit Approach; Chapter 9. Evidence of Bubbles in the Malaysian Stock Market; Part IV: Stock Markets
Chapter 10. Abnormal Returns after Large Stock Price Changes: Evidence from Asia-Pacific MarketsChapter 11. Price Limits in Asia-Pacific Financial Markets: The Case of the Shanghai Stock Exchange; Chapter 12. China's Securities Markets: Challenges, Innovations, and the Latest Developments; Chapter 13. Temporal Causality of Returns of Index Futures and Stock Markets: Evidence from Malaysia; Chapter 14. Price Behaviour Surrounding Block Transactions in Stock Index Futures Markets: International Evidence; Part V:Corporate Finance
Chapter 15. The Determinants of Capital Structure: Evidence from VietnamChapter 16. Shareholders' Value Creation and Destruction: The Stock Prices' Effects of Merger Announcement in Japan; Chapter 17. Takeovers and Shareholder Value Creation on the Stock Exchange of Thailand; Part VI: Funds Management; Chapter 18. Herd Behaviour of Chinese Mutual Funds; Chapter 19. Performance Persistence of Pension Fund Managers: Evidence from Hong Kong Mandatory Provident Funds; Chapter 20. Financial Market Implications of India's Pension Reform; Part VII: Banking and Debt Markets
Chapter 21. On the Safety and Soundness of Chinese Banks in the Post-WTO EraChapter 22. Market Discipline by CD Holders: Evidence from Japan with a Comparison to the US; Chapter 23. What are the Next Steps for Bond Market Development in Thailand?
Summary: 22 original papers focus on the Asia-Pacific financial markets.
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Includes bibliographical references.

Print version record.

Front cover; Asia-Pacific Financial Markets: Integration, Innovation and Challenges; Copyright page; Contents; List of Contributors; Editorial Advisory Board; About the Series; Part I: An Overview; Chapter 1. Introduction to Asia-Pacific Financial Markets: Integration, Innovation and Challenges; Part II: Asia-Pacific Stock Market Integration; Chapter 2. A New Approach for Estimating Relationships Between Stock Market Returns: Evidence of Financial Integration in the Southeast Asian Region; Chapter 3. Correlation Dynamics Between Asia-Pacific, EU and US Stock Returns

Chapter 4. Conditional Autocorrelation and Stock Market Integration in the Asia-PacificChapter 5. The Impact of the Opening up of the B-Share Markets on the Integration of Chinese Stock Markets; Chapter 6. A Single Currency for ASEAN-5: An Empirical Study of Economic Convergence and Symmetry; Part III: Bubbles and Spillovers; Chapter 7. Periodically Collapsing Bubbles in the Asian Emerging Stock Markets; Chapter 8. Currency Crises in Asia: A Multivariate Logit Approach; Chapter 9. Evidence of Bubbles in the Malaysian Stock Market; Part IV: Stock Markets

Chapter 10. Abnormal Returns after Large Stock Price Changes: Evidence from Asia-Pacific MarketsChapter 11. Price Limits in Asia-Pacific Financial Markets: The Case of the Shanghai Stock Exchange; Chapter 12. China's Securities Markets: Challenges, Innovations, and the Latest Developments; Chapter 13. Temporal Causality of Returns of Index Futures and Stock Markets: Evidence from Malaysia; Chapter 14. Price Behaviour Surrounding Block Transactions in Stock Index Futures Markets: International Evidence; Part V:Corporate Finance

Chapter 15. The Determinants of Capital Structure: Evidence from VietnamChapter 16. Shareholders' Value Creation and Destruction: The Stock Prices' Effects of Merger Announcement in Japan; Chapter 17. Takeovers and Shareholder Value Creation on the Stock Exchange of Thailand; Part VI: Funds Management; Chapter 18. Herd Behaviour of Chinese Mutual Funds; Chapter 19. Performance Persistence of Pension Fund Managers: Evidence from Hong Kong Mandatory Provident Funds; Chapter 20. Financial Market Implications of India's Pension Reform; Part VII: Banking and Debt Markets

Chapter 21. On the Safety and Soundness of Chinese Banks in the Post-WTO EraChapter 22. Market Discipline by CD Holders: Evidence from Japan with a Comparison to the US; Chapter 23. What are the Next Steps for Bond Market Development in Thailand?

22 original papers focus on the Asia-Pacific financial markets.

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