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Den Svenska Aktiemarknaden. En studie av korrelation ur ett makroekonomiskt perspektiv.
Stockholm University, Faculty of Social Sciences, School of Business.
Stockholm University, Faculty of Social Sciences, School of Business.
Stockholm University, Faculty of Social Sciences, School of Business.
2000 (Swedish)Independent thesis Advanced level (degree of Master (One Year)), 10 credits / 15 HE creditsStudent thesis
Abstract [sv]

Vår studie undersöker hur olika faktorer förklarar den svenska aktiemarknadens korrelation med sju andra länders aktiemarknader. Detta görs genom att jämföra avkastningen på aktiemaarknaderna under perioden 1985 till 1998. Tretton olika makroekonomiska faktorer används i en regressionsmodell.

Place, publisher, year, edition, pages
2000.
National Category
Business Administration
Identifiers
URN: urn:nbn:se:su:diva-1662OAI: oai:DiVA.org:su-1662DiVA: diva2:190387
Uppsok
samhälle/juridik
Available from: 2007-01-05 Created: 2007-01-05

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