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The research is carried out to analyze the banking sectors’ stock market performance of emerging markets of Asia. For the analysis of banking sectors’ stock market performance of emerging markets of the Asia, which is the dependent variable, the researcher chose ten emerging markets and fourteen internal independent variables grouped into five categories and four external independent variables according to the description of International Monetary Fund. Panel data of the selected variables for the selected emerging markets were collected to gain the advantages of panel data set. Pretesting of the panel data set was carried out before regression analysis. A mixed trend was observed after regression analysis. Except for liquid assets to total assets and interest rate, all variables had an impact on the banks’ stock performance for Asia.

Bilal Sarwar, Zahid Ahmad. (2018) Analysis of banking sectors’ stock market performance of emerging markets of Asia, Paradigms , Vol 12, Issue 2 .
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