Studies on Financial Markets in East Asia
Edited by Masayuki Susai and
Shigeru Uchida
in World Scientific Books from World Scientific Publishing Co. Pte. Ltd.
Abstract:
This book will be an important addition to the limited number of books that discuss finance and accounting issues in East Asian countries. While presenting recent empirical studies on finance and accounting in East Asian economies, it also reveals the underlying reasons for remarkable economic growth and emerging performance of the financial markets in the East Asian countries. It introduces newly developed financial products, institutions, governance mechanism, banking policy changes and their implications in the East Asian economies, and discusses the way forward for these economies with recommendations for policy implications. It also contains suggestions for other developing countries trying to achieve rapid growth.
Keywords: Financial Market; Foreign Exchange Rate; Sub-prime Crisis; Real Estate Market; Relationship Banking; Dividend and Share; Stock Market; Government Bond; Hedging; IPO; Return; Volatility; Liquidity; Risk Attitude; Investment Behavior; Fund Managers (search for similar items in EconPapers)
Date: 2011
ISBN: 9789814343367
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https://www.worldscientific.com/worldscibooks/10.1142/8107 (text/html)
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Chapters in this book:
- Ch 1 Multi Foreign Exchange Rate Relations in Turbulent Market: Lessons from Lehman Shock , pp 1-18

- Masayuki Susai
- Ch 2 The Asymmetric Contagion from the U.S. Stock Market around the Subprime Crisis , pp 19-39

- Chien-Chung Nieh, Yu-Sheng Kao and Chao-Hsiang Yang
- Ch 3 Can Monetary Policy Target on Asset Price? — Evidence from Chinese Real Estate Market , pp 41-59

- Qing Wang and Xin-tao Han
- Ch 4 Relationship Banking and Firm Profitability , pp 61-73

- Shigeru Uchida and Sarwar Ahmed
- Ch 5 The Choice between Dividend and Share Repurchase , pp 75-88

- Mohamad Jais
- Ch 6 Banking Relationships in East Asian Economies: Lessons for Developing Countries , pp 89-99

- Sarwar Ahmed and Shigeru Uchida
- Ch 7 An Econometric Analysis of Japanese Government Bond Markets in the Prewar and Postwar Periods , pp 101-119

- Hiroshi Kamae
- Ch 8 Hedging, IPOs and Japanese Days-of-the-Week Stock Return Patterns , pp 121-145

- Ken-ichi Tatsumi
- Ch 9 Return, Volatility and Liquidity of the JGB Futures , pp 147-164

- Takeo Minaki
- Ch 10 Consistency of Risk Attitude and other Investment Behavior of Japanese Fund Managers , pp 165-180

- Masayuki Susai and Hiroshi Moriyasu
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Persistent link: https://EconPapers.repec.org/RePEc:wsi:wsbook:8107
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