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International Stock Market Integration: Central and South Eastern Europe Compared

dc.contributor.authorHorvath, Roman
dc.contributor.authorPetrovski, Dragan
dc.date.accessioned2016-08-30T19:49:57Z
dc.date.available2016-08-30T19:49:57Z
dc.date.issued2012-02-01
dc.identifier.otherRePEc:wdi:papers:2012-1028
dc.identifier.urihttps://hdl.handle.net/2027.42/133044
dc.description.abstractWe examine the international stock market comovements between Western Europe vis-à-vis Central (the Czech Republic, Hungary and Poland) and South Eastern Europe (Croatia, Macedonia and Serbia) using multivariate GARCH models in 2006-2011. Comparing these two groups, we find that the degree of comovements is much higher for Central Europe. The correlation of South Eastern European stock markets with developed markets is essentially zero. The exemption to this regularity is Croatia with its stock market displaying a greater degree of integration towards Western Europe recently, but still below the levels typical for Central Europe. All stock markets fall strongly at the beginning of the global financial crisis and we do not find that the crisis altered the degree of stock market integration between this group of countries.
dc.relation.ispartofserieswp1028
dc.subjectstock market comovements
dc.subjectCentral and South Eastern Europe
dc.subjectGARCH
dc.subject.otherC22
dc.subject.otherC32
dc.subject.otherG15
dc.titleInternational Stock Market Integration: Central and South Eastern Europe Compared
dc.typeWorking Paper
dc.subject.hlbsecondlevelEconomics
dc.subject.hlbtoplevelBusiness
dc.contributor.affiliationumWilliam Davidson Institute
dc.description.bitstreamurlhttp://deepblue.lib.umich.edu/bitstream/2027.42/133044/1/wp1028.pdf
dc.contributor.authoremailroman.horvath@gmail.com
dc.owningcollnameWilliam Davidson Institute (WDI) - Working Papers


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