Asia-Pacific Financial Markets: Integration, Innovation and Challenges

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Suk-Joong Kim, Michael D. McKenzie
Elsevier, 2008 - Business & Economics - 519 pages
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This volume of "International Finance Review" focuses on the Asia-Pacific financial markets. A total of 22 original papers, not published elsewhere, have been selected from a competitive field. These papers utilize a variety of methods, including theoretical, empirical and qualitative to highlight a range of issues across the region. Several papers offer combinations of these different categories and among the empirical papers, there are a wide variety of datasets analyzed. While China does play a significant part in the analysis of five of the papers in this volume (this is to be expected given its importance in the region), a host of other countries are also considered.This ensures the volume is truly international in its scope. These papers each serve to contribute to the knowledge on a particular issue related to the financial markets within this region and for this volume, three main issues have been identified: integration, innovation and challenges. Articles are contributed by experts in their fields. It is truly international in scope.
 

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Contents

AsiaPacific Stock Market Integration
15
Bubbles and Spillovers
141
Stock Markets
203
Corporate Finance
305
Funds Management
371
Banking and Debt Markets
445
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