Integration of Financial Markets in Post Global Financial Crises and Implications for British Financial Sector: Analysis Based on A Panel VAR Model

Nasir, M and Du, M (2017) Integration of Financial Markets in Post Global Financial Crises and Implications for British Financial Sector: Analysis Based on A Panel VAR Model. Journal of Quantitative Economics. ISSN 0971-1554 DOI: https://doi.org/10.1007/s40953-017-0087-2

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Divisions: Faculty of Business and Law > Leeds Business School
Identification Number: https://doi.org/10.1007/s40953-017-0087-2
Status: Published
Refereed: Yes
Publisher: Springer India
Uncontrolled Keywords: 1402 Applied Economics, 1403 Econometrics,
Depositing User (symplectic) Deposited by Nasir, Muhammad Ali
Date Deposited: 10 Apr 2017 14:15
Last Modified: 08 Dec 2017 12:42
Item Type: Article

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