Macro-financial nexus: a systematic review on the impact of macroeconomic factors on bank stock returns

A Joseph, GE, R Radhakrishnan… - Cogent Economics & …, 2024 - Taylor & Francis
The performance of bank stocks exhibits a country's overall financial health and signals
economic growth. Therefore, understanding the interaction of macroeconomic factors on …

The effect of macroeconomic variables on stock market returns in Ghana (2000-2013)

C Barnor - 2014 - search.proquest.com
Variations in macroeconomic indicators affect the performance of the stock markets. In
Ghana, although the performance of the Ghana Stock Exchange (GSE) has been affected by …

[PDF][PDF] Is the relationship between CSR activities and financial performance of organizations a short term result? An answer with a panel data analysis

JJG Santos, OHZ Vázquez - Contaduría y administración, 2019 - dialnet.unirioja.es
For many years, research on the profitability of activities related to Corporate Social
Responsibility (CSR) has been conducted, where different results have been obtained …

Response of Spanish stock market to ECB monetary policy during financial crisis

J Ruiz - The Spanish Review of Financial Economics, 2015 - Elsevier
The present paper analyzes the effects of ECB monetary policy on the Spanish stock market
returns. The data sample run all over the euro period: from January 1999 to December 2014 …

Pengaruh profitability, liquidity, leverage, dan interest rates terhadap stock return untuk LQ-45 Index

S Firmansyah, L Purnamasari - Journal of Business & …, 2017 - journal.perbanas.ac.id
The purpose of investors to invest their fund is to get the stock return. Therefore, they need to
understand the company's financial performance and macro-economic factors that can affect …

Impacts of short-term interest rates on stock returns and exchange rates: Empirical evidence from EAGLE countries

O Ozcelebi, N Yildirim - The Journal of International Trade & …, 2017 - Taylor & Francis
In this study, we estimate Bayesian vector autoregression (BVAR) and time-varying
structural VAR (TVP-VAR) models for Brazil, Indonesia, Mexico and Turkey to analyze the …

[PDF][PDF] Dynamic interactions among the industrial sector and its determinants in Jordan

N Abuoliem, SM Nor, MS Lola… - Investment …, 2019 - businessperspectives.org
The industrial sector is one of the most vital sectors in the national economy, so different
local and global factors affect its performance. The study examines the impact of the global …

Macroeconomic indicators and stock market returns: a comparative analysis

F Alloul, EM Ferrouhi - International Journal of Revenue …, 2024 - inderscienceonline.com
This study examines the impact of five macroeconomic indicators-employment rate (EMR),
foreign direct investment net inflows (FDI net inflows), gross domestic product growth (GDP …

Monetary policy and stock market liquidity in emerging market economies: A literature review

UTH Ton, T Tatay - Regional and Business Studies, 2021 - journal.uni-mate.hu
In the era of globalization, the financial systems of all countries have faced severe
challenges and their negative impacts such as overheated economy, high inflation, stock …

Are interest rates alone enough to understand stock returns in the Islamic Republic of Pakistan?

I Badshah, M Ahmad, KH Jaber - International Journal of …, 2019 - inderscienceonline.com
The purpose of this paper is to understand the volatility of interest rates and the relationship
between interest rates and stock returns under three political regimes in Pakistan. The …