海湾合作委员会银行与股票市场收益的相互依存关系(初步分析)

Abdulfatah Alsameen
{"title":"海湾合作委员会银行与股票市场收益的相互依存关系(初步分析)","authors":"Abdulfatah Alsameen","doi":"10.2139/ssrn.1913051","DOIUrl":null,"url":null,"abstract":"This paper investigates an empirical analysis into the relationship between return of banking sector and stock market return in the Gulf Cooperation Council (GCC). A number of researches argue that financial sectors in the GCC countries are dominated by banking systems which means stock market as a component of financial system interrelated with banking market. The results indicate a positive relationship between banking industry in each GCC country and both GCC banking and stock market return in each GCC state, while negative relationship is existence with composite GCC stock market return. This paper uses quantitative methods based on regression analysis to examine the relation between stock market and banking industry in each GCC country for the period of Jan 2007-April 2011.","PeriodicalId":420844,"journal":{"name":"INTL: Economic & Financial Issues (Topic)","volume":"80 1","pages":"0"},"PeriodicalIF":0.0000,"publicationDate":"2011-08-20","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":"1","resultStr":"{\"title\":\"Interdependence of Banking and Stock Market Return in the Gulf Cooperation Council (Preliminary Analysis)\",\"authors\":\"Abdulfatah Alsameen\",\"doi\":\"10.2139/ssrn.1913051\",\"DOIUrl\":null,\"url\":null,\"abstract\":\"This paper investigates an empirical analysis into the relationship between return of banking sector and stock market return in the Gulf Cooperation Council (GCC). A number of researches argue that financial sectors in the GCC countries are dominated by banking systems which means stock market as a component of financial system interrelated with banking market. The results indicate a positive relationship between banking industry in each GCC country and both GCC banking and stock market return in each GCC state, while negative relationship is existence with composite GCC stock market return. This paper uses quantitative methods based on regression analysis to examine the relation between stock market and banking industry in each GCC country for the period of Jan 2007-April 2011.\",\"PeriodicalId\":420844,\"journal\":{\"name\":\"INTL: Economic & Financial Issues (Topic)\",\"volume\":\"80 1\",\"pages\":\"0\"},\"PeriodicalIF\":0.0000,\"publicationDate\":\"2011-08-20\",\"publicationTypes\":\"Journal Article\",\"fieldsOfStudy\":null,\"isOpenAccess\":false,\"openAccessPdf\":\"\",\"citationCount\":\"1\",\"resultStr\":null,\"platform\":\"Semanticscholar\",\"paperid\":null,\"PeriodicalName\":\"INTL: Economic & Financial Issues (Topic)\",\"FirstCategoryId\":\"1085\",\"ListUrlMain\":\"https://doi.org/10.2139/ssrn.1913051\",\"RegionNum\":0,\"RegionCategory\":null,\"ArticlePicture\":[],\"TitleCN\":null,\"AbstractTextCN\":null,\"PMCID\":null,\"EPubDate\":\"\",\"PubModel\":\"\",\"JCR\":\"\",\"JCRName\":\"\",\"Score\":null,\"Total\":0}","platform":"Semanticscholar","paperid":null,"PeriodicalName":"INTL: Economic & Financial Issues (Topic)","FirstCategoryId":"1085","ListUrlMain":"https://doi.org/10.2139/ssrn.1913051","RegionNum":0,"RegionCategory":null,"ArticlePicture":[],"TitleCN":null,"AbstractTextCN":null,"PMCID":null,"EPubDate":"","PubModel":"","JCR":"","JCRName":"","Score":null,"Total":0}
引用次数: 1

摘要

本文对海湾合作委员会(GCC)成员国银行业回报率与股市回报率之间的关系进行了实证分析。许多研究认为,海湾合作委员会国家的金融部门由银行系统主导,这意味着股票市场作为金融系统的一个组成部分,与银行市场相互关联。结果表明,海合会各成员国银行业与海合会各成员国银行业和股市收益率均呈正相关,而与海合会股市综合收益率呈负相关。本文采用基于回归分析的定量方法,考察了2007年1月至2011年4月期间GCC各国股市与银行业的关系。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Interdependence of Banking and Stock Market Return in the Gulf Cooperation Council (Preliminary Analysis)
This paper investigates an empirical analysis into the relationship between return of banking sector and stock market return in the Gulf Cooperation Council (GCC). A number of researches argue that financial sectors in the GCC countries are dominated by banking systems which means stock market as a component of financial system interrelated with banking market. The results indicate a positive relationship between banking industry in each GCC country and both GCC banking and stock market return in each GCC state, while negative relationship is existence with composite GCC stock market return. This paper uses quantitative methods based on regression analysis to examine the relation between stock market and banking industry in each GCC country for the period of Jan 2007-April 2011.
求助全文
通过发布文献求助,成功后即可免费获取论文全文。 去求助
来源期刊
自引率
0.00%
发文量
0
×
引用
GB/T 7714-2015
复制
MLA
复制
APA
复制
导出至
BibTeX EndNote RefMan NoteFirst NoteExpress
×
提示
您的信息不完整,为了账户安全,请先补充。
现在去补充
×
提示
您因"违规操作"
具体请查看互助需知
我知道了
×
提示
确定
请完成安全验证×
copy
已复制链接
快去分享给好友吧!
我知道了
右上角分享
点击右上角分享
0
联系我们:info@booksci.cn Book学术提供免费学术资源搜索服务,方便国内外学者检索中英文文献。致力于提供最便捷和优质的服务体验。 Copyright © 2023 布克学术 All rights reserved.
京ICP备2023020795号-1
ghs 京公网安备 11010802042870号
Book学术文献互助
Book学术文献互助群
群 号:481959085
Book学术官方微信