Determinants of Stock Market Development:
The Case of Developing Countries and Vietnam
Abstract
1. Introduction
2. Literature review
3. Empirical model, research method, and data
3.1. Empirical model
3.2. Research method
3.3. Data
4. Results and discussion
4.1. Macroeconomic determinants of stock market development
4.2. Institutional quality and stock market development
4.3. Determinants of stock market development in Vietnam
5. Conclusion and policy implications
References
Appendix
Banking System Reform and Investment–Cash Flow Relation: The Case of Vietnam
Abstract
1. Introduction
2. Literature review
3. Research design
4. Empirical results
5. Conclusion
References
The Impact of Non-Performing Loans on Bank Profitability and Lending Behavior: Evidence from Vietnam
Abstract
1. Introduction
2. Literature review
3. Methodology
4. Data description
5. Empirical results
6. Conclusion and recommendations
References
Monetary Policy Effect in an Economy with Heavily Managed Exchange Rate
Abstract
1. Introduction
2. Literature review
3. Methodology
4. Empirical results
5. Conclusion
References
Institutions and Credit Risk in Banking System:
The Case of Emerging Economies
Abstract
1. Introduction
2. Literature review
3. Methodology and data
3.1. Methodology
3.2. Data
4. Results and discussion
5. Conclusion and policy implications
References
Institution, External Debts, and Fiscal Policy:
An Empirical Investigation in Asia Pacific Countries
Abstract
1. Introduction
2. Literarure review
3. Methodology and data
3.1. Methodology
3.2. Data
4. Results and discussion
4.1. Governance quality, external debt, and tax
4.2. Governance quality, external debt, and total government expenditure
4.3. Governance quality, external debt, and current government expenditure
4.4. Governance quality, external debt, and capital government expenditure
5. Conclusion
References
The USD Strength and Economic Growth:
An Empirical Study in Asia Pacific Countries
Abstract
1. Introduction
2. Literature review
3. Methodology and data
3.1. Methodology
3.2. Data
4. Results and discussions
5. Conclusion
References
Does Stock Price Reflect Earnings Persistence? Evidence from Vietnam
Abstract
1. Introduction
2. Literature review
3. Data, variable measurement, and methodology
3.1. Data
3.2. Variable definition
4. Empirical Results
5. Conclusion
References
The Effect of Related Party Transactions on Earnings Management of Listed Companies in Vietnam
Abstract
1. Introduction
2. Theoretical basis and methodology
3. Results
3.1. Descriptive analyses of related party transactions
3.2. Earnings management
3.3. Correlation coefficients
3.4. Regression analysis
3.5. Sensitivity analysis and robustness checks
4. Conclusion and policy implication
References
Applying Three VaR (Value at Risk) Approaches in Measuring Market Risk of Stock Portfolio: The Case Study of VN-30 Stocks Basket in HOSE
Abstract
1. Introduction
2. Literature review
3. Methodology
4. Data results and discussion
5. Conclusions
References
Determinants of Tobin’s q:
The Case of Listed Construction and Material Companies in Vietnam
Abstract
1. Introduction
2. Literature review
3. Methodology
4. Results and discussion
5. Conclusion
Appendix
References
Measuring Contagion Risk among Vietnam’s Listed Commercial Banks
Abstract
1. Introduction
2. Literature review
3. Methodology and research model
4. Contagion risk results
5. Implication and conclusion
Appendix
References
Factors Affecting Performance of Listed Commercial Banks: Evidence on Vietnamese Securities Market
Abstract
1. Introduction
2. Overview of research and methodology
3. Study design
4. Results and discussion
4.1. Descriptive statistical analysis
4.2. A correlation analysis
4.3. Assessing the suitability of the model
4.4. Testing for the suitability of the model
4.5. The regression results
4.6. Discussion of research results
5. Conclusion and policy implications
5.1. Concluding remarks
5.2. Policy suggestions
References
Determinants of Capital Structure of Listed Firms in Vietnam: A Quantile Regression Approach
Abstract
1. Introduction
2. Literature review
3. Data and methodology
4. Results
5. Conclusion
References
Appendix
Empirical Test on Impacts of Monetary Policy and Fiscal Policy on Vietnam’s Stock Market
Abstract
1. Introduction
2. Literature review
3. The changes in monetary policy – fiscal policy and the Vietnam‘s stock market
4. Research methodology
5. Test results
6. Discussions and recommendations
7. Limitations
References