Impact of economic relationship on South Asian securities markets

Project Leader:
Michio KUNIMURA
Faculty of Business Management

The modern portfolio theory tells us that diversified investment leads risk reduction effects. However, worldwide stock price declines occur frequently in recent years. This fact will indicate that risk diversification is difficult even under global investment. Many studies examined the relationship between various stock markets and New York market. This study will focus on South Asian securities markets and examine the hypothesis gThe neighbor securities markets with stronger economic interdependence are affected more heavily by the Indian securities market.h








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