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9783330348301: The Determinants of Bank Stock Prices in Time of Crisis

Synopsis

The purpose of this book is to study the determinants of stock prices of a panel of European banks during the financial crisis. The research is based on the idea that banks' stock prices in a period of market uncertainty and turmoil reflect the dynamics of budget indicators, market and macroeconomic variables, as well as the dynamics outside the core business and systemic variables. This work is divided into two parts: a first part that is essentially theoretical, which aims to address the issue of creating and disseminating economic value in the specificity of financial intermediaries as well as the formation of banks' share prices between expectations and risk; a second part that is essentially empirical, which illustrates the findings of an empirical investigation conducted on a panel of listed European banks aiming to analyse the sensitivity of stock prices of the banks compared to the variations of the budget indicators, as well as external and market variables.

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  • ÉditeurLAP LAMBERT Academic Publishing
  • Date d'édition2017
  • ISBN 10 3330348305
  • ISBN 13 9783330348301
  • ReliureBroché
  • Langueanglais
  • Nombre de pages60
  • Coordonnées du fabricantnon disponible

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Taschenbuch. Etat : Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - The purpose of this book is to study the determinants of stock prices of a panel of European banks during the financial crisis. The research is based on the idea that banks' stock prices in a period of market uncertainty and turmoil reflect the dynamics of budget indicators, market and macroeconomic variables, as well as the dynamics outside the core business and systemic variables. This work is divided into two parts: a first part that is essentially theoretical, which aims to address the issue of creating and disseminating economic value in the specificity of financial intermediaries as well as the formation of banks' share prices between expectations and risk; a second part that is essentially empirical, which illustrates the findings of an empirical investigation conducted on a panel of listed European banks aiming to analyse the sensitivity of stock prices of the banks compared to the variations of the budget indicators, as well as external and market variables. N° de réf. du vendeur 9783330348301

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Taschenbuch. Etat : Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -The purpose of this book is to study the determinants of stock prices of a panel of European banks during the financial crisis. The research is based on the idea that banks' stock prices in a period of market uncertainty and turmoil reflect the dynamics of budget indicators, market and macroeconomic variables, as well as the dynamics outside the core business and systemic variables. This work is divided into two parts: a first part that is essentially theoretical, which aims to address the issue of creating and disseminating economic value in the specificity of financial intermediaries as well as the formation of banks' share prices between expectations and risk; a second part that is essentially empirical, which illustrates the findings of an empirical investigation conducted on a panel of listed European banks aiming to analyse the sensitivity of stock prices of the banks compared to the variations of the budget indicators, as well as external and market variables. 60 pp. Englisch. N° de réf. du vendeur 9783330348301

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Taschenbuch. Etat : Neu. This item is printed on demand - Print on Demand Titel. Neuware -The purpose of this book is to study the determinants of stock prices of a panel of European banks during the financial crisis. The research is based on the idea that banks' stock prices in a period of market uncertainty and turmoil reflect the dynamics of budget indicators, market and macroeconomic variables, as well as the dynamics outside the core business and systemic variables. This work is divided into two parts: a first part that is essentially theoretical, which aims to address the issue of creating and disseminating economic value in the specificity of financial intermediaries as well as the formation of banks' share prices between expectations and risk; a second part that is essentially empirical, which illustrates the findings of an empirical investigation conducted on a panel of listed European banks aiming to analyse the sensitivity of stock prices of the banks compared to the variations of the budget indicators, as well as external and market variables.Books on Demand GmbH, Überseering 33, 22297 Hamburg 60 pp. Englisch. N° de réf. du vendeur 9783330348301

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ISBN 10 : 3330348305 ISBN 13 : 9783330348301
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Paperback. Etat : Brand New. 60 pages. 8.66x5.91x0.14 inches. In Stock. N° de réf. du vendeur 3330348305

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