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Showing 1 to 20 of 289 for “"Financial market"”.

  1. News and financial market

    News can influent the market. It has been proven that using text mining techniques, financial news can be used to predict market trend and volatility. In this thesis, we study some existing prediction algorithms that are based on Naive Bayes Classifier and Adjusted Document Frequency-Inverse …

    uiuc Repository record for News and financial market (opens in a new tab)

  2. Essays on Financial Market Structure

    … this thesis, I model three innovations in modern financial markets. First, I study conflict of interest in the relation between brokers and investors. Second, I study Exchange Traded Funds, and their impact on their constituent assets. Finally, I study crowdfunding as a means for entrepreneurs to …

    toronto-retro Repository record for Essays on Financial Market Structure (opens in a new tab)

  3. Essays on Financial Market Interdependence

    … spillover and correlations among national stock markets, and the structure of dependence between stocks and commodity futures. It consists of four chapters. Chapter 1 briefly reviews the literature background of financial market interdependence and summarizes the contribution of the thesis. …

    lund Repository record for Essays on Financial Market Interdependence (opens in a new tab)

  4. Essays on financial market imperfections

    This dissertation consists of three chapters on financial market imperfections, in particular, information imperfections. Chapter 1 studies how the existence of a fixed cost per transaction faced by uninformed investors hampers information revelation through price and exacerbates adverse selection. …

    mit Repository record for Essays on financial market imperfections (opens in a new tab)

  5. Three essays on financial market networks

    Submission published under a 24 month embargo labeled 'Closed Access', the embargo will last until 2027-05-01

    uiuc Repository record for Three essays on financial market networks (opens in a new tab)

  6. Financial market failures and systemic crises

    … that studies the macroeconomic implications of financial frictions. It develops frameworks to address different financial market failures, and evaluate preventive policies to mitigate the vulnerability of the economy to costly systemic crises. First, it identifies a credit risk (fire sale) …

    mit Repository record for Financial market failures and systemic crises (opens in a new tab)

  7. Three Essays on International Financial Market Linkages

    … the causal linkages between monetary and financial market returns of the New Member States (NMS) with the euro zone following the introduction of the euro. To measure monetary convergence we employ UIP deviations and stock market integration is proxied by the differential of the …

    maynooth Repository record for Three Essays on International Financial Market Linkages (opens in a new tab)

  8. Financial market imperfections and their asset pricing implications

    This thesis consists of two studies on financial market imperfections. The first study (Chapters 2 and 3) investigates illiquidity, which is a reflection of different imperfections, and its pricing implications in the corporate bond market. The second study (Chapter 4) evaluates the impact of a …

    mit Repository record for Financial market imperfections and their asset pricing implications (opens in a new tab)

  9. Essays on Financial Market Development and Economic Growth

    This dissertation is a collection of essays on financial market development and economic growth. In contrast to existing literature, which considers credit for investment along, we investigate the relationship between credit market development and economic growth in the framework where both …

    vt Repository record for Essays on Financial Market Development and Economic Growth (opens in a new tab)

  10. Essays on financial market regulatory frameworks and financial inclusion

    This dissertation examined how financial market regulation influences credit supply and pricing in segmented and underserved markets, with particular focus on non-bank financial institutions (NBFIs) and microfinance institutions (MFIs). The study explored a key policy dilemma: while regulation aims …

    stellenbosch Repository record for Essays on financial market regulatory frameworks and financial inclusion (opens in a new tab)

  11. Three Essays on Behavioral Bias in the Financial Market

    … Information Dissemination and Behavioral Bias in Financial Media, which examines how behavioral bias affects the information dissemination role of financial media. By utilizing information from Gallup Survey and immigration records, we construct a measure of journalist surname favorability. We …

    aus-cath Repository record for Three Essays on Behavioral Bias in the Financial Market (opens in a new tab)

  12. Three Essays on Behavioral Bias in the Financial Market

    … Information Dissemination and Behavioral Bias in Financial Media, which examines how behavioral bias affects the information dissemination role of financial media. By utilizing information from Gallup Survey and immigration records, we construct a measure of journalist surname favorability. We …

    anu Repository record for Three Essays on Behavioral Bias in the Financial Market (opens in a new tab)

  13. A distributed online financial market : design, implementation, and experiments

    Thesis (M.Eng.)--Massachusetts Institute of Technology, Dept. of Electrical Engineering and Computer Science, 1999.

    mit Repository record for A distributed online financial market : design, implementation, and experiments (opens in a new tab)

  14. Using Directional Change for Information Extraction in Financial Market Data

    … change (DC) is a new concept for summarizing market dynamics. Instead of sampling the financial market at fixed intervals as in the traditional time series analysis, by contrast, DC is data-driven: the price change itself dictates when a price is recorded. DC provides us with a complementary …

    essex Repository record for Using Directional Change for Information Extraction in Financial Market Data (opens in a new tab)

  15. The Amman financial market : institutional features and calandar [sic] effects

    … reader an insight into a relatively little known market in a developing country. The purpose of the study is to look at the market from an investor's/portfolio manager's perspective. Most investors are used to operating in a developed, mature market such as the New York Stock Exchange or the …

    concordia Repository record for The Amman financial market : institutional features and calandar [sic] effects (opens in a new tab)

  16. Essays on the risk premium in the U.S. financial market

    Thesis (Ph. D.)--Massachusetts Institute of Technology, Dept. of Economics, 1992.

    mit Repository record for Essays on the risk premium in the U.S. financial market (opens in a new tab)

  17. Architecting system of systems: artificial life analysis of financial market behavior

    … combination of these tools can be developed. Financial markets are selected to demonstrate the various architectures developed from the analysis framework"--Introduction, page 3.

    must-thes Repository record for Architecting system of systems: artificial life analysis of financial market behavior (opens in a new tab)

  18. Metrics to segment the Brazilian agricultural financial market for operating loans

    … will estimate the size of Brazilian Agricultural Financial Market for Operating Loans for the nine major crops in Brazil in the season 2018/2019. The study will determine the size of the total operating cost market, determine the size of the Rural-Credit versus Non-Credit funds, and divide it out …

    uiuc Repository record for Metrics to segment the Brazilian agricultural financial market for operating loans (opens in a new tab)

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