Stock portfolio excess returns and macroeconomic variables: An empirical analysis of the singapore stock market
10.1007/BF01731421
Saved in:
Main Authors: | Ariff, M., Fai, P.K. |
---|---|
Other Authors: | FINANCE & ACCOUNTING |
Format: | Article |
Published: |
2013
|
Online Access: | http://scholarbank.nus.edu.sg/handle/10635/45230 |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Institution: | National University of Singapore |
Similar Items
-
Stock Portfolio Excess Returns and Macroeconomic Variables: An Empirical Analysis of the Singapore Stock Market
by: Ariff, Mohamed, et al.
Published: (1990) -
Effects of selected macroeconomic variables on the return of Asean stock markets.
by: Caraon, Clarice Mae R.
Published: (2010) -
Macroeconomic risk and excess returns of property stocks: Some international evidence
by: HUANG QIONG
Published: (2010) -
Relationship between macroeconomic variables and stock market return :: Evidence from Indonesia Stock Exchange
by: , SUTRISNO, Ria, et al.
Published: (2009) -
Macroeconomic Factors and Stock Returns
by: WU, Chunchi, et al.
Published: (1987)