Amanote Research
Register
Sign In
Relationship Between Macroeconomic Variables and the Indonesian Stock Market
Jurnal Ekonomi dan Pendidikan
doi 10.21831/jep.v1i1.670
Full Text
Open PDF
Abstract
Available in
full text
Date
March 2, 2012
Authors
Unknown
Publisher
Universitas Negeri Yogyakarta
Related search
Revisiting Relationship Between Malaysian Stock Market Index and Selected Macroeconomic Variables Using Asymmetric Cointegration
Causal Relationship Between the Volatility of Stock Market and Selected Macroeconomic Variables: Case of Malaysia
Jurnal Ekonomi Malaysia
Macroeconomic Variables and the Stock Market: The Case of Croatia
Economic Research-Ekonomska Istrazivanja
Economics
Econometrics
The Relationship Between Macroeconomic Variables and the Dividend Payout Ratio of the Textile Sector Listed on Pakistan Stock Market
Sarhad Journal of Management Sciences
A Study on the Relationship Between Monetary Policy Variables and Stock Market
International Journal of Business and Management
The Analysis of the Relationship Between Stock Price Index and the Macroeconomic Variables: Turkey Example
International Journal of Social Sciences and Education Research
Macroeconomic Variables, Stock Market Bubble, Meltdown and Recovery: Evidence From Nigeria
Journal of Finance and Bank Management
Selecting Macroeconomic Variables as Explanatory Factors of Emerging Stock Market Returns
Pacific Basin Finance Journal
Economics
Econometrics
Finance
Interrelationship Between Stock Returns and Selected Macroeconomic Variables: An Empirical Study.
International Journal of Advanced Research