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Finanzmarktintegration in Mittelosteuropa: Eine empirische Analyse der integrativen Wirkung des Euro

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  • Wohlmann, Monika

Abstract

[Vorgehensweise und Methodik] In Kapitel 2 wird der theoretische Hintergrund der Finanzmarktintegration beschrieben, indem auf die diesbezüglichen Vorteile und Messverfahren eingegangen wird. Des Weiteren werden in diesem Kapitel Ergebnisse ähnlicher empirischer Studien aufgezeigt. In Kapitel 3 erfolgt eine Bestandsaufnahme der Entwicklung und der aktuellen Strukturen der Finanzmärkte, insbesondere der Märkte für Staatsanleihen in den Ländern Polen, Ungarn und Tschechien. Auch die Perspektiven für einen künftigen Euro-Beitritt werden kurz beschrieben. Kapitel 4 beinhaltet die empirische Analyse: Zunächst wird der Untersuchungsgegenstand und das methodische Vorgehen erläutert, anschließend werden die Untersuchungsergebnisse und deren Interpretation dargestellt. Die Arbeit schließt mit einem Fazit und einem kurzen Ausblick in Kapitel 5. Methodisch wird in der Arbeit die ökonometrische Analyse von Zeitreihen angewandt.

Suggested Citation

  • Wohlmann, Monika, 2015. "Finanzmarktintegration in Mittelosteuropa: Eine empirische Analyse der integrativen Wirkung des Euro," Arbeitspapiere der FOM 55, FOM Hochschule für Oekonomie & Management.
  • Handle: RePEc:zbw:fomarb:55
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