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Relationship between Stock Market and Macroeconomic Variables: A Study of Asian Emerging Economies and Developed Countries Economies

机译:股票市场与宏观经济变量之间的关系:亚洲新兴经济体和发达国家的研究

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This paper examined the empirical relationships between stock market of Asian developing countries and the developed countries and the macroeconomic variable. The sample size included stock markets, of Malaysia, Indonesia, Bangladesh and Pakistan and US, UK, Japan and Germany. This study is intended to be a useful contribution to the academician researcher and students in their study to understand the relationship. For that we have applied unit root test and OLS test.
机译:本文考察了亚洲发展中国家和发达国家股票市场之间的经验关系以及宏观经济变量。样本数量包括马来西亚,印度尼西亚,孟加拉国和巴基斯坦以及美国,英国,日本和德国的股票市场。这项研究旨在为院士研究人员和学生了解他们之间的关系做出有益的贡献。为此,我们应用了单位根测试和OLS测试。

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