Financial Integration of the ASEAN-5 Markets: Financial Crisis Effects Based on Bivariate and Multivariate Cointegration Approach

Bibliographic Details
Main Authors: Hawati Janor, Ruhani Ali
Format: Article
Language:English
Published: LLC "CPC "Business Perspectives" 2007-12-01
Series:Investment Management & Financial Innovations
Online Access:https://businessperspectives.org/images/pdf/applications/publishing/templates/article/assets/1949/imfi_en_2007_04_1_Janor.pdf
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spelling doaj-634f83285ae54aab97bced9cc6d02f482020-11-25T02:07:01ZengLLC "CPC "Business Perspectives"Investment Management & Financial Innovations 1810-49671812-93582007-12-01441949Financial Integration of the ASEAN-5 Markets: Financial Crisis Effects Based on Bivariate and Multivariate Cointegration ApproachHawati JanorRuhani Alihttps://businessperspectives.org/images/pdf/applications/publishing/templates/article/assets/1949/imfi_en_2007_04_1_Janor.pdf
collection DOAJ
language English
format Article
sources DOAJ
author Hawati Janor
Ruhani Ali
spellingShingle Hawati Janor
Ruhani Ali
Financial Integration of the ASEAN-5 Markets: Financial Crisis Effects Based on Bivariate and Multivariate Cointegration Approach
Investment Management & Financial Innovations
author_facet Hawati Janor
Ruhani Ali
author_sort Hawati Janor
title Financial Integration of the ASEAN-5 Markets: Financial Crisis Effects Based on Bivariate and Multivariate Cointegration Approach
title_short Financial Integration of the ASEAN-5 Markets: Financial Crisis Effects Based on Bivariate and Multivariate Cointegration Approach
title_full Financial Integration of the ASEAN-5 Markets: Financial Crisis Effects Based on Bivariate and Multivariate Cointegration Approach
title_fullStr Financial Integration of the ASEAN-5 Markets: Financial Crisis Effects Based on Bivariate and Multivariate Cointegration Approach
title_full_unstemmed Financial Integration of the ASEAN-5 Markets: Financial Crisis Effects Based on Bivariate and Multivariate Cointegration Approach
title_sort financial integration of the asean-5 markets: financial crisis effects based on bivariate and multivariate cointegration approach
publisher LLC "CPC "Business Perspectives"
series Investment Management & Financial Innovations
issn 1810-4967
1812-9358
publishDate 2007-12-01
url https://businessperspectives.org/images/pdf/applications/publishing/templates/article/assets/1949/imfi_en_2007_04_1_Janor.pdf
work_keys_str_mv AT hawatijanor financialintegrationoftheasean5marketsfinancialcrisiseffectsbasedonbivariateandmultivariatecointegrationapproach
AT ruhaniali financialintegrationoftheasean5marketsfinancialcrisiseffectsbasedonbivariateandmultivariatecointegrationapproach
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