Items where Author is "Moore, W"

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Journal article

HARRISON, B. and MOORE, W., 2012. Forecasting stock market volatility in central and Eastern European countries. Journal of Forecasting, 31 (6), pp. 490-503. ISSN 0277-6693

MOORE, W. and MORRIS, D., 2012. Product-level estimation of import demand: simulating the effects of tariff harmonisation. The Journal of International Trade & Economic Development, 21 (5), pp. 655-676. ISSN 0963-8199

HARRISON, B. and MOORE, W., 2012. Stock market efficiency, nonlineraity, thin trading and asymmetric information in MENA stock markets. Economic Issues, 17 (1), pp. 77-93.

HARRISON, B. and MOORE, W., 2011. Nonlinearities in Central and Eastern European stock markets. Applied Economics Letters, 18 (14), pp. 1363-1366.

HARRISON, B. and MOORE, W., 2010. Stock market co-movement in the Caribbean. Economic Issues, 15 (1), pp. 1-15.

HARRISON, B. and MOORE, W., 2009. Spillover effects from London and Frankfurt to Central and Eastern European stock markets. Applied Financial Economics, 19 (18), pp. 1509-1521.

HARRISON, B. and MOORE, W., 2009. Stock market co-movement in the European Union and transition countries. Financial Studies, 3, pp. 124-151.

Chapter in book

CRAIGWELL, R., MOORE, W., MORRIS, D. and WORRELL, D., 2011. Price rigidity: a survey of evidence from micro-level data. In: R. CRAIGWELL, W. MOORE and D. WORRELL, eds., Price formation and inflation dynamics in the Caribbean. St. Augustine, Republic of Trinidad & Tobago: Caribbean Centre for Money & Finance (CCMF), The University of the West Indies, pp. 1-20. ISBN 9789766202774

HARRISON, B. and MOORE, W., 2010. Non-linear stock market co-movement in Central and East European countries. In: R. MATOUSEK, ed., Money, banking and financial markets in Central and Eastern Europe: 20 years of transition. Basingstoke: Palgrave Macmillan, pp. 119-138.

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