Impact of macroeconomic variables on the performance of stock exchange: a systematic review

RK Verma, R Bansal - International Journal of Emerging Markets, 2021 - emerald.com
Purpose This paper aims to identify various macroeconomic variables that affect the stock
market performance of developed and emerging economies. It also investigates the effect of …

COVID-19: hotel industry response to the pandemic evolution and to the public sector economic measures

O Anguera-Torrell, JP Aznar-Alarcón… - Tourism Recreation …, 2021 - Taylor & Francis
The hotel industry is one of the most negatively impacted economic sectors by the COVID-
19. Its recovery relies on the capacity to control the pandemic and to the macroeconomic …

Asymmetrical relationship between oil prices, gold prices, exchange rate, and stock prices during global financial crisis 2008: Evidence from Pakistan

UA Sheikh, M Asad, Z Ahmed… - Cogent Economics & …, 2020 - Taylor & Francis
The study investigated that whether the relationship between macroeconomic fluctuations
and stock indexes is symmetrical or asymmetrical in nature. This study employed nonlinear …

[HTML][HTML] Macroeconomic determinants of stock market fluctuations: The case of BIST-100

C Demir - Economies, 2019 - mdpi.com
The purpose of this study is to analyze the impacts of some prominent macroeconomic
factors on the Turkish Stock Market index, BIST-100 (Borsa Istanbul-100). For centuries, and …

[PDF][PDF] The impact of macroeconomic variables on stock prices: An empirical analysis of Karachi stock exchange

MM Hussain, M Aamir, N Rasool, M Fayyaz… - … Journal of Social …, 2012 - Citeseer
The intention of this study was to investigate the causal relationship, both long-run and short-
run, between KSE (Karachi Stock Exchange) and some macroeconomic variables in …

[PDF][PDF] Micro and macroeconomic determinants of stock prices: The case of Turkish banking sector

H Rjoub, I Civcir, NG Resatoglu - Romanian journal of …, 2017 - researchgate.net
This paper investigates the relationship between Turkish banks stock prices and a set of
micro and macro variables. The study carried out via applying a fixed panel data analysis …

Do stock markets lead or lag macroeconomic variables? Evidence from select European countries

SJ Camilleri, N Scicluna, Y Bai - The North American Journal of Economics …, 2019 - Elsevier
This study examines the connections between stock prices and key macroeconomic
indicators: inflation, industrial production, interest rates, money supply and select …

[HTML][HTML] Do oil price shocks and other factors create bigger impacts on islamic banks than conventional banks?

J Esmaeil, H Rjoub, WK Wong - Energies, 2020 - mdpi.com
The main aim of this study is to empirically examine and compares the impacts of oil price
shocks, Arab revolutions, some macroeconomics, and bank-specific variables on bank …

[PDF][PDF] The Impact Macroeconomic Variables on Stock Returns: A Case of the Johannesburg Stock Exchange.

B Ndlovu, F Faisa, NG Resatoglu, T Türsoy - Romanian Statistical Review, 2018 - insse.ro
The study assessed association of macroeconomic variables: inflation (INF), Money supply
growth (M3), Interest rates (IR) and USD ZAR exchange rate (EX) using quarterly data from …

Exchange rate movement and stock market performance: An application of the ARDL model

KZ Javangwe, O Takawira - Cogent economics & finance, 2022 - Taylor & Francis
The study examines the relationship between the stock market and exchange rate in South
Africa for the period from 1980 to 2020. Quarterly data was used employing the …