Results 21 to 30 of about 25,645 (165)
FINANCIAL CRISIS AND STOCK MARKET LINKAGES
This paper investigates interdependencies and linkages between international stock markets in the short-run. Thus, twelve European and non-European markets were selected, and the period from 4.
VICTOR MANUEL DE SOUSA GABRIEL +1 more
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European Financial Markets After EMU: A First Assessment [PDF]
This paper reviews the first evidence on the impact of European Monetary Union on European capital markets, one year after the launch of the single currency. Our assessment of this evidence is very favourable. On almost all counts EMU has either changed the European financial landscape already drastically or has the potential to do so in the future. We
Jean-Pierre Danthine +2 more
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Adoption of the Objectives of the Monetary and Economic Union and European Financial Integration [PDF]
The European concerns, with old traditions in forming multinational financial markets, developed in the integration of the financial markets and of the European banking systems which allowed the investors from any European country to follow the ...
MĂDĂLINA RĂDOI, ALEXANDRU OLTEANU
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The goal of this paper is to recognize the dynamics of financial integration across the European stock markets over the last two decades. We investigate two groups of markets: (1) three developed European markets in the U.K., France, and Germany; and (2)
Elżbieta Majewska, Joanna Olbryś
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LEVERAGING BIG DATA TECHNOLOGIES FOR ENHANCED PUBLIC PARTICIPATION IN PUBLIC FINANCIAL MANAGEMENT
The article is devoted to the topical issues regarding the implementation of Big Data technologies in public finance management. The application of Big Data has the potential to enhance transparency and accountability in the use of budgetary resources ...
Sergii Krynytsia +4 more
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The Euro and European financial market dependence
A time-varying copula model is used to investigate the impact of the introduction of the Euro on the dependence between 17 European stock markets during the period 1994–2003. The model is implemented with a GJR-GARCH-MA-t model for the marginal distributions and the Gaussian copula for the joint distribution, which allows capturing time-varying, non ...
Bartram, S, Taylor, S J, Wang, Y
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Regulation of statutory audit in the European Union
The article deals with the regulatory policy of statutory audit with the purpose of confidence strengthening in the European financial markets and ensuring the foundations of international cooperation of market regulators under the conditions of ...
Serhii Gushko
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Integration and competition in the European financial markets [PDF]
Financial integration in Europe should affect the competition between markets and intermediaries and generate a convergence of both interest rates and margins among the different countries. This paper analyses the evolution of the convergence in interest rates and the level of competition and its inequalities among the European banking systems for the ...
Francisco Pérez García +2 more
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Romanian Stock Market Integration with Europe: A Covid-19 Perspective [PDF]
Understanding the interconnectedness of financial markets is essential for assessing market efficiency, risk transmission, and financial integration, particularly in the context of global shocks.
Botond BENEDEK
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The paper seeks to empirically explore the variations and changes in the degree of International Financial Integration (IFI) between the European Transition countries and Post-Transition countries between 2000 and 2016.
Mehmed Ganić
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