원문정보
목차
Abstract
I. Introduction
II. Theoretical Arguments and Empirical Implications
2.1 Investment Sentiments
2.2 International Asset Pricing and Global Listing
III. Major Indicators of Korean Overseas Securities
IV. Data, Sample Characteristics, and Correlation Analysis
4.1 Data
4.2 Sample Characteristics and Correlation Analysis
V. Hypotheses and Empirical Methodology
5.1 Major Hypotheses
5.2 Methodology and Test Specification
VI. Empirical Test Results
6.1 Co-movement and Causality Analyses
6.2 Market Integration and/or Segmentation
6.3 Effects of Market Li beralization and Opening
VII. Summary and Conclusions
References
Abstract
I. Introduction
II. Theoretical Arguments and Empirical Implications
2.1 Investment Sentiments
2.2 International Asset Pricing and Global Listing
III. Major Indicators of Korean Overseas Securities
IV. Data, Sample Characteristics, and Correlation Analysis
4.1 Data
4.2 Sample Characteristics and Correlation Analysis
V. Hypotheses and Empirical Methodology
5.1 Major Hypotheses
5.2 Methodology and Test Specification
VI. Empirical Test Results
6.1 Co-movement and Causality Analyses
6.2 Market Integration and/or Segmentation
6.3 Effects of Market Li beralization and Opening
VII. Summary and Conclusions
References
Abstract
저자정보
참고문헌
자료제공 : 네이버학술정보