Relations between macroeconomic variables and the Finnish and German stock markets - Vector Autoregression Approach

dc.contributorAalto-yliopistofi
dc.contributorAalto Universityen
dc.contributor.authorMäkinen, Marju
dc.contributor.departmentKansantaloustieteen laitosfi
dc.contributor.departmentDepartment of Economicsen
dc.contributor.schoolKauppakorkeakoulufi
dc.contributor.schoolSchool of Businessen
dc.date.accessioned2020-11-17T15:10:04Z
dc.date.available2020-11-17T15:10:04Z
dc.date.issued2007
dc.identifier.urihttps://aaltodoc.aalto.fi/handle/123456789/58069
dc.identifier.urnURN:NBN:fi:aalto-2020111716922
dc.language.isoenen
dc.programme.majorEconomicsfi
dc.rights.accesslevelclosedAccess
dc.subject.keywordkansantaloustiedefi
dc.subject.keywordosakemarkkinatfi
dc.subject.keywordosakkeetfi
dc.subject.keywordhinnatfi
dc.subject.keywordSuomifi
dc.subject.keywordSaksafi
dc.subject.keywordmakrotalousfi
dc.titleRelations between macroeconomic variables and the Finnish and German stock markets - Vector Autoregression Approachen
dc.type.okmG2 Pro gradu, diplomityö
dc.type.ontasotMaster's thesisen
dc.type.ontasotPro gradu -tutkielmafi
dc.type.publicationmasterThesis
local.aalto.digiauthask
local.aalto.digifolderAalto_47582
local.aalto.idthes10577
local.aalto.openaccessno
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