Global Stock Market Development Quantitative and Behavioural Analysis

Global Stock Market Development Quantitative and Behavioural Analysis by Marcin Kalinowski, published by Routledge on May 31, 2023, offers a detailed examination of stock market dynamics in the context of globalized financial systems. This 176-page book explores how stock markets should be evaluated beyond mere quantitative metrics, emphasizing the importance of behavioral responses to information. Kalinowski presents an innovative tool for assessing stock market development, integrating both classical and behavioral finance theories to provide a comprehensive understanding of market behavior.
Readers will find an analysis of 130 stock markets, focusing on their developmental aspects in terms of quantity and behavior. The book discusses key topics such as price volatility and the behavior of fundamental indicators, enabling a nuanced assessment of market maturity. This resource is designed for research fellows and students in economics, particularly in finance, as well as practitioners in the field, including financial analysts and investment advisers. Through its unique approach, the book aims to enhance the decision-making process for investors by providing insights into the complexities of stock market behavior.
Official synopsis Publisher
“In the current era of globalised financial markets, the stock market cannot be assessed solely by comparing quantitative features such as the number of listed companies or capitalisation on the stock exchange. This is of secondary importance from an investor’s point of view. What is important, however, is how a given stock market behaves towards the environment – whether it is “hyperactive” or “excessively lethargic” in response to information. This book provides an innovative tool for assessing global stock markets. It describes the complex concept of “stock market development” in light of classical and behavioural finance theories, and considers both quantitative (the number of listed companies, turnover, etc.) and behavioural aspects (price volatility, the behaviour of fundamental indicators of listed companies). Based on an innovative method for assessing development, the author analyses 130 stock markets, indicating those that are more developed in terms of quantity and behaviour. Ultimately, this enables the assessment of which markets are more or less developed and why. This knowledge, used properly, offers an advantage over other financial market participants, and allows for the comprehensive assessment of individual stock markets, which can support the process of making good investment decisions. The book is an invaluable resource for research fellows and students in economics, particularly the field of Finance. It is also addressed to business and stock market practitioners, such as financial market analysts, brokers and investment advisers”–
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