All Stories

  1. Modelling volatility spillovers from the US equity market to ASEAN stock markets
  2. Herding and equity market liquidity in emerging market. Evidence from Vietnam
  3. Analysts and stock liquidity – Global evidence
  4. Stock liquidity and capital structure: International evidence
  5. Herd behavior and idiosyncratic volatility in a frontier market
  6. Foreign Investors and Stock Price Crash Risk: Evidence from Vietnam
  7. Government cost and firm value: Evidence from Vietnam
  8. International financial integration: Stock return linkages and volatility transmission between Vietnam and advanced countries
  9. Bank lending behavior in emerging markets
  10. Do Foreign Investors Promote Stock Price Efficiency in Emerging Markets?
  11. Where do the advanced countries invest? An investigation of capital flows from advanced countries to emerging economies
  12. How does the stock market value bank diversification? Evidence from Vietnam
  13. Trading of foreign investors and stock returns in an emerging market - Evidence from Vietnam
  14. Foreign Ownership and Corporate Cash Holdings in Emerging Markets
  15. Determinants of capital structure in emerging markets: Evidence from Vietnam
  16. Further evidence on the herd behavior in Vietnam stock market
  17. Herd Behavior in Emerging Equity Markets: Evidence from Vietnam
  18. Bank risk shifting and diversification in an emerging market
  19. An empirical investigation of capital structure and firm value in Vietnam
  20. Monetary Policy Transmission in Vietnam: Evidence from a VAR Approach
  21. Foreign investors and corporate risk taking behavior in an emerging market
  22. Does institutional ownership increase stock return volatility? Evidence from Vietnam
  23. Financial structure and economic growth: the case of Vietnam
  24. Asset growth and the cross section of stock returns - evidence from Vietnam
  25. Asset growth and the cross section of stock returns - evidence from Vietnam
  26. Finance in Vietnam - an overview
  27. Impacts of the US monetary policy on the Vietnamese stock market
  28. Foreign ownership and stock market liquidity - evidence from Vietnam
  29. Liquidity, liquidity risk and stock returns: evidence from Vietnam
  30. Foreign ownership in emerging stock markets
  31. Foreign ownership and stock return volatility – Evidence from Vietnam
  32. Foreign ownership and dividend policy - the case of Vietnam
  33. Monetary Policy and Bank Credit Risk in Vietnam Pre and Post Global Financial Crisis
  34. An Empirical Investigation of Factors Affecting Stock Prices in Vietnam
  35. Liquidity and Return Relationships in an Emerging Market
  36. Herd Behavior in Emerging Equity Markets: Evidence from Vietnam
  37. The determinants of home bias puzzle in equity portfolio investment in Australia
  38. Return and Volatility Spillovers between Vietnam and Asian Stock Markets
  39. Empirical Investigation of Efficient Market Hypothesis in Vietnam Stock Market
  40. Liquidity, Liquidity Risk and Stock Returns Evidence from Vietnam
  41. Net private capital flows and economic growth–the case of emerging Asian economies
  42. The determinates of equity portfolio holdings
  43. An analysis of the relationship between foreign direct investment and economic growth
  44. International financial integration in Asian bond markets
  45. Volatility amongst firms in the Dow Jones Eurostoxx50 Index
  46. The determinants of international financial integration
  47. European equity markets integration—implications for US investors
  48. International Financial Integration: An Empirical Investigation into Asian Equity Markets Pre- and Post-1997 Asian Financial Crisis