Stock Market and Macroeconomic Variables: VAR and PVAR Approach – Matěj Doležal
Matěj Doležal
Master's thesis
Stock Market and Macroeconomic Variables: VAR and PVAR Approach
Stock Market and Macroeconomic Variables: VAR and PVAR Approach
Anotácia:
The study aimed to examine the relationship between the stock market and the real economy. The analysis was conducted based on three models: the S&P 500 stock index, the FTSE 100 stock index, and subsequently, a panel data structure. The observed period chosen was 1Q05-4Q20. The Vector Autoregression (VAR) model was selected for analysis, with subsequent extension to a panel version (PVAR). The macroeconomic …viacAbstract:
The study aimed to examine the relationship between the stock market and the real economy. The analysis was conducted based on three models: the S&P 500 stock index, the FTSE 100 stock index, and subsequently, a panel data structure. The observed period chosen was 1Q05-4Q20. The Vector Autoregression (VAR) model was selected for analysis, with subsequent extension to a panel version (PVAR). The macroeconomic …viac
Jazyk práce: English
Datum vytvoření / odevzdání či podání práce: 24. 5. 2024
Identifikátor:
https://vskp.vse.cz/eid/94003
Obhajoba závěrečné práce
- Obhajoba proběhla 18. 6. 2024
- Vedúci: Karel Brůna
- Oponent: Žaneta Tesařová
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Instituce archivující a zpřístupňující práci: Vysoká škola ekonomická v Prazehttps://vskp.vse.cz/eid/94003
Vysoká škola ekonomická v Praze
Master programme:
Finance
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