Browsen in EconStor gesamt nach Autor:innen McMillan, David G.
Zeige Ergebnisse 1 bis 6 von 6
Erscheinungsjahr | Titel | Autor:innen |
2016 | Stock return predictability and market integration: The role of global and local information | McMillan, David G. |
2018 | The behaviour of the equity yield and its relation with the bond yield: The role of inflation | McMillan, David G. |
2019 | Exchange rate volatility in the eurozone | Bajo Rubio, Oscar; Berke, Burcu; McMillan, David G. |
2020 | Macroeconomic variables and long-term stock market performance: A panel ARDL cointegration approach for G7 countries | Humpe, Andreas; McMillan, David G. |
2020 | Exchange rate volatility in the eurozone | Bajo-Rubio, Oscar; Berke, Burcu; McMillan, David G. |
2022 | The time-varying relation between stock returns and monetary variables | McMillan, David G. |