Efficiency and Volatility Dynamics of Bangladesh's Stock Market

Efficiency and Volatility Dynamics of Bangladesh's Stock Market A Macroeconometric Analysis

Hardback (01 Mar 2024)

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Publisher's Synopsis

This book contributes to empirical finance by comprehensively analysing an emerging stock market, employing modern econometric techniques. The most central and fascinating area of financial economics is probably the efficiency and volatility of the stock market - however, studies of emerging economies are relatively limited in this area. The rising importance of stock market globalisation has increased interest in emerging markets. This book leads the way for an emerging market perspective, as it explores the issue of efficiency and volatility of the stock market in Bangladesh by employing both univariate and multivariate models, using daily data of past share prices and monthly data of macroeconomic variables and the stock index, respectively.

This book offers an understanding of the crucial issues facing developing economies, particularly emerging stock markets with similar characteristics to those of Bangladesh. This book undoubtedly provides valuable information for investors in the stock market, graduate, post-graduate, and PhD students in quantitative financial economics, academics in economics and finance, and policymakers in developing economies.

Book information

ISBN: 9781527569645
Publisher: Cambridge Scholars Publishing
Imprint: Cambridge Scholars Publishing
Pub date:
DEWEY: 332.642095492
DEWEY edition: 23
Language: English
Number of pages: 224
Weight: -1g
Height: 210mm
Width: 148mm