Risk-averse behaviour in emerging markets: the role of economic indicators, bank characteristics and developed markets
This study aims to examine the impact of economic indicators and bank characteristics on investors' risk-averse behaviour in emerging countries. It further analyses the influence of the developed markets on the risk-averse behaviour of the emerging markets. This study specifically explores the...
保存先:
第一著者: | |
---|---|
フォーマット: | 論文 |
言語: | English |
出版事項: |
Penerbit Universiti Kebangsaan Malaysia
2023
|
オンライン・アクセス: | http://journalarticle.ukm.my/22001/1/JeM_4.pdf http://journalarticle.ukm.my/22001/ https://www.ukm.my/jem/view-articles/ |
タグ: |
タグ追加
タグなし, このレコードへの初めてのタグを付けませんか!
|