Impact of Index futures derivatives on the stock market volatility (1998-2005) Abstract Derivative products like futures and options in Indian stock market have become important instruments of price discovery‚ portfolio diversification and risk hedging in recent times. This research study is an effort to study the impact of introduction of index futures on the stock market volatility. In order to capture the impact of introduction of index on the volatility of the underlying‚ a dummy variable
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Environmental Risk Perception Tammey Sweezer PSY/460 17 January 2015 Tonie Heath Environmental Risk Perception Introduction As the world population grows so does where the individuals live. People are taking up space that once where animals inhabited. Some animals have been hunted over the years for food‚ while others have been hunted for sport. The animals that have been hunted for food and sport some of them have started to become extinct. One will see how the animals are saved once they start
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GROUP ASSIGNMENTS EFFECT STUDENTS PERFORMANCE Siti Rafidah bt. Mohamed Ameen 029829 University Sultan Zainal Abidin (UniSZA) PREPARED FOR DR ABD AZIZ ABDULLAH Chapter 1 1.1 Introduction and Background Assignment is a common task that given by lecturer to students in order to enhance their understanding. Assignment should be carried out individually or by group. Individual assignment usually acceptable by student compare than group assignment. Group assignment sometimes
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during the stock market crash. People lost their jobs‚ businesses were forced to close‚ houses went up for sale‚ and all hope was lost. Furthermore‚ the crash of the stock market affected many different aspects of the world including citizens‚ the United States economy‚ and places outside the United States tremendously. At the time when the stock market crashed President Hoover was in office and therefore blamed for the start and most of the effects of the stock market crash. In 1929 the stock market
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Chapter I Introduction 1.1 Background Finance is the backbone of any organization. No organization can sustain and develop without finance. The organizations with the sound financial structure can compete and lead the market. Economic growth of the nation depends on the availability‚ mobilization and utilization of the financial resources. Financial institutions play the major role for economic development of any country. Financial sector primarily indicates the banking sector. So‚ there
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if someone asked me about stock and how I think about the stock market‚ I would try to change the topic because I knew nothing about it at that time. However‚ right now‚ everything has changed for me and one of the reasons for that is The Stock Market Game. To be more specific‚ the game showed me how to keep an eye on the stocks‚ how good researches help you and how real life event‚ like the crash of crude oil or the -18% drop of the China market‚ could affect your stocks. With that being said‚ the
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topic of the stock market crash‚ is one that brings many theories and ideas to the true cause of the American economy downfall in the late 1920s. Foremost‚ the American economy suffered drastically following the conclusion of WWI‚ many lived under the assumption that the new era of the 1920s was full of economic opportunities‚ which caused over production of goods creating lasting effects on the economy. In addition‚ Americans had a false sense of security in local banking systems‚ stock prices soared
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entire market capitalization of the Seagate. Seagate faces two problems because of VERITAS stake. First‚ the company’s core disk drive operations were not receiving full value in the market. Second‚ the company would incur a significant tax liability if the company attempt to monetize its VERITAS stake be selling the shares. Yes‚ it is necessary to divest the VERITAS shares in a separate transaction. It helps the company to save itself from tax liabilities and distributing the VERITAS stock tax free
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An Empirical Test of German Stock Market Efficiency A Master Thesis submitted by Lindsay Gillette (188816) to Prof. Dr. Wolfgang Härdle in partial fulfillment of the requirements for the degree of Master of Science C.A.S.E. – Center for Applied Statistics and Economics Institute for Statistics and Econometrics Humboldt-Universität zu Berlin Berlin‚ Germany September 13‚ 2005 II Declaration of Authorship I hereby confirm that I have authored this master thesis independently and without
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M.Sc. Economics and Finance Dissertation INTEREST RATE SENSITIVITY OF STOCK RETURNS Acknowledgements I would like to thank my supervisor Dr. Illias Tsiakas for his continued support and Encouragement. I would like to thank my father‚ mother and my sister for their tremendous support and understanding not only through the period of this thesis but for the period of the entire masters programme. In addition I would like to thank some of my friends who supported and encouraged me. Special thanks
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