Bank rating changes and bank stock returns-puzzling evidence from the emerging markets
Guardado en:
| Autor principal: | |
|---|---|
| Otros Autores: | |
| Formato: | Libro |
| Lenguaje: | inglés |
| Publicado: |
Washington
International Monetary Fund
1999
|
| Colección: | IMF Working Paper
WP/99/151 |
| Materias: | |
| Etiquetas: |
Sin Etiquetas, Sea el primero en etiquetar este registro!
|
Ejemplares similares: Bank rating changes and bank stock returns-puzzling evidence from the emerging markets
- Predicting bank CAMELS and S&P ratings <the> case of the Czech Republic
- Euro-area banking at the crossroads
- IMF seminar examines lessons from banking crises.
- Comovements in National Stock Market Returns Evidence of Predictability but not Cointegration
- <The> day-of-the-week effect on stock-market volatility and return: evidence from emerging markets
- Banking Rating Systems for IRB: Comparison of Three Systems from German-speaking Environment