
Comparative Analysis of Trade and Finance in Emerging Economies
- 360 pages
- English
- ePUB (mobile friendly)
- Available on iOS & Android
Comparative Analysis of Trade and Finance in Emerging Economies
About this book
This volume of the International Symposia in Economic Theory and Econometrics explores the latest economic and financial developments in Africa and Asia.
Chapters cover a range of topics such as: the relationship between good stewardship, agency costs, and performance of South African firms; stock market dynamics in Thailand, including risk & mutual fund clustering and zero-investment portfolios strategies; and a special focus on financial markets in Indonesia such as fundamental indexing with Markowitz mean variance portfolios, a financial performance analysis of highway companies before and during the Covid-19 pandemic, and a credit risk scoring model for consumer financing.
Comparative Analysis of Trade and Finance in Emerging Economies also addresses the issue of whether the West African Monetary Zone can form a Currency Union, and, examines the impact of non-tariff measures of China on the export of agricultural products of Laos.
These peer-reviewed papers touch on a variety of timely, interdisciplinary subjects such as stock markets and the effects of public policy.
Together, ISETE 31, is a crucial resource of current, cutting-edge research for any scholar of international finance and economics.
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Table of contents
- Cover
- Title
- Chapter 1. The Relationship Between Good Stewardship, Agency Costs, and Performance of South African Firms
- Chapter 2. Can West African Monetary Zone Form a Currency Union?
- Chapter 3. Risk and Mutual Fund Clustering in an Emerging Market: Evidence for Thailand
- Chapter 4. Zero-investment Portfolio Strategy and Excess Returns in ESG100 Stocks
- Chapter 5. Personality Traits as Determinants of Facebook Behavior: Study of Indian Gen-Z
- Chapter 6. The Dynamic Relationship Between the Services Trade Sector and Economic Growth in the Lao Peopleās Democratic Republic
- Chapter 7. Predictive Blend: Fundamental Indexing with Markowitz Mean Variance Portfolio in Indonesia Stock Exchange
- Chapter 8. Financial Literacy of Micro, Small, and Medium Enterprises: Empirical Study During the Pandemic Period
- Chapter 9. Personnel Management in the Context of New Forms of Diffusion of Innovations
- Chapter 10. Impact of Non-tariff Measures of the Peopleās Republic of China on the Export of Agricultural Products of Lao Peopleās Democratic Republic
- Chapter 11. Financial Distress and Financial Performance Analysis of Highway Companies Before and During the COVID-19 Pandemic: Evidence from Indonesia Stock Exchange
- Chapter 12. Credit Risk Scoring Model for Consumer Financing: Logistic Regression Method
- Chapter 13. The Effects of Investment Amount in Investment Activity Report (Laporan Kegiatan Penanaman Modal/LKPM) on Employment in West Java Province
- Chapter 14. Influence of Bank Loans on Listed Company Performance: Evidence from China
- Chapter 15. The Relationship Between Capital Structure and Performance of Real Estate Companies in China
- Index