The Impact of Determinants on the Volatility of Banking Sector Stock Returns in Europe
The aim of the paper is to examine the impact of macroeconomic determinants on the volatility of banking sector stock returns in Europe. The research was conducted for 182 banks in 26 European countries in which banks are listed in the stock market. The research method used was static panel models....
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Format: | Article |
Language: | English |
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Wydawnictwo Naukowe Wydziału Zarządzania Uniwersytetu Warszawskiego
2019-01-01
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Series: | Problemy Zarządzania |
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Online Access: | https://pz.wz.uw.edu.pl/resources/html/article/details?id=187537 |