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crisis periods

Price Discovery of Credit Spreads in Tranquil and Crisis Periods

Price Discovery of Credit Spreads in Tranquil and Crisis Periods

... the crisis, the IS indicates that 40% of price discovery takes place in the equity market, 34% in the option market, 21% in the CDS market, and very little, only 6% in the bond ...financial crisis, the IS ...

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Asian Financial Integration during the Pre  and Post crisis Periods

Asian Financial Integration during the Pre and Post crisis Periods

... As the economies of Asian have moved towards closer economic ties and trade integration in recent years, the establishment of regional exchange rate arrangement is becoming an important regional policy concern, ...

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Assessing Time Varying Stock Market Integration in EMU for Normal and Crisis Periods

Assessing Time Varying Stock Market Integration in EMU for Normal and Crisis Periods

... A economies registered highest correlation during the Normal period with an exception of Italy which showed highest correlation with the EMU during GFC which can be attributed to contagion. For other Group A economies, ...

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CEO compensation and banks’ risk taking during pre and post financial
crisis periods

CEO compensation and banks’ risk taking during pre and post financial crisis periods

... financial crisis periods would help us better understand the implications of various compensation reforms introduced after the 2007-2008 financial ...

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CEO compensation and banks’ risk taking during pre and post financial crisis periods

CEO compensation and banks’ risk taking during pre and post financial crisis periods

... financial crisis periods would help us better understand the implications of various compensation reforms introduced after the 2007-2008 financial ...

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Economic growth and capital flow in European countries in pre and post crisis periods

Economic growth and capital flow in European countries in pre and post crisis periods

... financial crisis, all CEE members, except Poland, had the deepest decline in their GDP compared to other ...pre crisis and post crisis periods almost all CEE members had growth rates higher ...

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Forbes and Rigobon’s method of contagion analysis with endogenously defined crisis periods – an application to some of Eurozone’s stock markets

Forbes and Rigobon’s method of contagion analysis with endogenously defined crisis periods – an application to some of Eurozone’s stock markets

... Three main conclusions may be drawn from the research. Firstly, the results of this paper confirm the findings of other studies that shift-contagion has played a role in the propagation of financial shocks during the ...

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Analyzing Retrenchment Strategies of Five Star Hotels during the Crisis Periods Using Fuzzy DEMATEL Method

Analyzing Retrenchment Strategies of Five Star Hotels during the Crisis Periods Using Fuzzy DEMATEL Method

... The crisis emerged between Turkey and Russia at the end of 2015 caused significant negative effects on the tourism sector as well as on many ...the crisis, have made an effort to survive in the sector by ...

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Study of Discrete Choice Models and Adaptive Neuro Fuzzy Inference System in the Prediction of Economic Crisis Periods in USA

Study of Discrete Choice Models and Adaptive Neuro Fuzzy Inference System in the Prediction of Economic Crisis Periods in USA

... the crisis prediction is the “noise-to-ratio” model (Kaminsky and Reinhart 1996, Kaminsky et ...of crisis The method works effectively when there are sharp changes between crises episodes and periods ...

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Long run implications of the covered interest rate parity condition: evidence during the recent crisis and non crisis periods

Long run implications of the covered interest rate parity condition: evidence during the recent crisis and non crisis periods

... Thus, this paper makes two contributions to the literature. First, by taking account of possible shifts in forward premiums, we attempt to …nd reasons for their possible nonstationarity using the recent data. Previous ...

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Financing Obstacles of Bangladeshi Firms: Evidence from Pre-Crisis and Post-Crisis Periods

Financing Obstacles of Bangladeshi Firms: Evidence from Pre-Crisis and Post-Crisis Periods

... financial crisis in late 2007, banks sharply reduced their credit supply in many countries due to increased uncertainty over borrowers quality (Aisen and Franken, ...financial crisis in 2008-09, Bangladeshi ...

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Return and Volatility Spillover among Banks and Insurers: Evidence from Pre-Crisis and Crisis Periods

Return and Volatility Spillover among Banks and Insurers: Evidence from Pre-Crisis and Crisis Periods

... Factors contributing to linkages among financial markets are several: a) these markets are influenced by similar macroeconomic/financial risk factors (Kodres and Pritsker, 2002); b) they are affected by actions of their ...

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Advancing the Backtrack Optimization Technique to Obtain Forecasts of Potential Crisis Periods

Advancing the Backtrack Optimization Technique to Obtain Forecasts of Potential Crisis Periods

... Financial crisis is an unfortunate reality that overshadows any financial system regardless its profitability and the level it ...the crisis indicator ...

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Hedge Fund Returns under Crisis Scenarios: A Holistic Approach

Hedge Fund Returns under Crisis Scenarios: A Holistic Approach

... over crisis periods that are characterized by co-movement in the volatility of global equity markets, the dynamic correlation coefficient strengthens statistically, a finding confirmed by Forbes and Ribogon ...

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Inflation persistence in BRICS countries: A quantile autoregressive (QAR) model

Inflation persistence in BRICS countries: A quantile autoregressive (QAR) model

... post-crisis periods, ...pre-crisis periods and 40 th quantile for the post-crisis ...pre-crisis periods whereas inflation turns highly persistence in the 60 th quantile ...

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Dynamic Conditional Correlation Analysis of Stock Market Contagion: Evidence from the 2007-2010 Financial Crises

Dynamic Conditional Correlation Analysis of Stock Market Contagion: Evidence from the 2007-2010 Financial Crises

... financial crisis periods, provides evidence in favor of contagion effects due to herding behavior in international emerging stock ...crises periods, imply that the benefit from international ...

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Board structure as a defense mechanism during periods of economic downturn, evidence from the 2007 2008 financial crisis in the UK

Board structure as a defense mechanism during periods of economic downturn, evidence from the 2007 2008 financial crisis in the UK

... According to the hypotheses, BINDEP should have a negative coefficient since an increased percentage of non-executive directors on the board is expected to be negatively related to firm performance. The coefficient of ...

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Comparing The South African Stock Markets Response To Two Periods Of Distinct Instability The 1997-98 East Asian And Russian Crisis And The Recent Global Financial Crisis

Comparing The South African Stock Markets Response To Two Periods Of Distinct Instability The 1997-98 East Asian And Russian Crisis And The Recent Global Financial Crisis

... Earlier crisis literature focused on the distinction between fundamental causes of crises (when the economy is in a state of distress) and crises of the self-fulfilling variety that occur even in countries with ...

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ROLE AND IMPORTANCE OF MANAGEMENT IN CRISIS SITUATION IN THE ENTERPRISE

ROLE AND IMPORTANCE OF MANAGEMENT IN CRISIS SITUATION IN THE ENTERPRISE

... the crisis is mainly related to political crises, the crisis management as notion is related with undertaking of activities the public and private ...the crisis has been attributed to political ...

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A. The Definition of Activity Periods

A. The Definition of Activity Periods

... In task planning network based on activity periods, activity nodes (or called events) themselves do not occupy period, they are just time nodes representing the activity start or end. There are two time parameters ...

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