Essays about: "financial crisis in asia"

Showing result 1 - 5 of 24 essays containing the words financial crisis in asia.

  1. 1. The Miraculous growth of the Asian Tigers - how do values contribute to development? A qualitative study on the role Asian values had on the Asian miracle

    University essay from Göteborgs universitet/Statsvetenskapliga institutionen

    Author : Amadou Toure Bagayegou; [2023-09-20]
    Keywords : ;

    Abstract : The purpose of this study is to highlight the role and effect values had on the miraculous growth conducted in East-asia, more specifically the role Asian values had on the Four Asian Tigers. The growth that occurred during the later part of the twentieth century in these states was conducted in such a pragmatic and successful manner that the understanding of how was a poignant factor in development studies. READ MORE

  2. 2. Sin Stocks: An Analysis of the Sin Premium in the US, European, and Asia-Pacific Markets

    University essay from Lunds universitet/Nationalekonomiska institutionen

    Author : Tizian Widmer; Tim Scholl; [2023]
    Keywords : Sin Stocks; Factor Models; USA; Europe; Asia-Pacific; Business and Economics;

    Abstract : This thesis aims to explain the return of so-called sin stocks, which include businesses operating in the alcohol, tobacco, gambling, weapon, and oil & gas industries. Due to their negative public perception, these stocks are anticipated to yield a sin premium. READ MORE

  3. 3. A Non-linear Analysis of Cointegration in South-East Asian Equity Markets

    University essay from Handelshögskolan i Stockholm/Institutionen för finansiell ekonomi

    Author : Massimiliano Severi; [2021]
    Keywords : Cointegration; South-East Asian stock markets; Time series comovements; Markov-switching models; Regime-shifting models;

    Abstract : This paper investigates the presence of cointegration among the main stock markets in South-East Asia, namely those of Hong Kong, Singapore, Malaysia and Thailand. Part 1 of the thesis studies the relationship using Markov-switching models, while Part 2 uses regime-shifting models with one structural break. READ MORE

  4. 4. European Countries Choosing Chinese Investment Instruments: An Analysis

    University essay from Lunds universitet/Statsvetenskapliga institutionen

    Author : Imtiaz Hassan; [2020]
    Keywords : Actorness; BRI; Coherence; CFSP; EU; Member states’ responses; Levels of engagement; Policy; Policy change; Institutions; Structures.; Law and Political Science;

    Abstract : This Masters’ thesis attempts to identify why European countries choose Chinese investment instruments despite their participation in the European single market and access to European Union (EU) resources and technical assistance. Since their inception in 2013, EU members as well as EU partner states in Europe have been divided on their approach towards joining the Chinese investment instruments- namely Belt and Road Initiative (BRI) and Asian Infrastructure Investment Bank (AIIB) - due to the absence of a common EU policy in this regard. READ MORE

  5. 5. Investigating the Long- and the Short-Run Diversification Potential of REITs for Private Investors

    University essay from Linköpings universitet/Institutionen för ekonomisk och industriell utveckling

    Author : Klara Granath; Charlotta Carlsson; [2019]
    Keywords : REIT; Portfolio Diversification; DCC-GARCH; Johansen’s Cointegration; Granger Causality;

    Abstract : Real estate is commonly viewed as a good diversification tool since the real estate market cycle exhibit low correlations to other asset classes. Moreover, Real Estate Investment Trusts (REITs) have become increasingly popular in the past decades since this investment form offers private investors a convenient way of diversifying stock portfolios with real estate. READ MORE