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Original Articles

Stock prices, inflation and output: evidence from China

Pages 509-511 | Published online: 06 Oct 2010

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HusseinA.Hassan Al-Tamimi, Ali Abdulla Alwan & A.A. Abdel Rahman. (2011) Factors Affecting Stock Prices in the UAE Financial Markets. Journal of Transnational Management 16:1, pages 3-19.
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Chulho Jung, William Shambora & Kyongwook Choi. (2007) The relationship between stock returns and inflation in four European markets. Applied Economics Letters 14:8, pages 555-557.
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Articles from other publishers (9)

Numan Ülkü & Kexing Wu. (2023) Stock Market's Response to Real Output Shocks in China: A VARwAL Estimation. China & World Economy 31:5, pages 1-25.
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Cheng Jin. (2022) Impact of the COVID-19 Pandemic on China's Stock Market Volatility, During and After the Outbreak: Evidence From an ARDL Approach. Frontiers in Public Health 10.
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Somayeh Madadpour & Mohsen Asgari. (2019) The puzzling relationship between stocks return and inflation: a review article. International Review of Economics 66:2, pages 115-145.
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Muhammad ShahbazFaridul IslamIjaz Ur Rehman. (2016) Stocks as Hedge against Inflation in Pakistan: Evidence from ARDL Approach. Global Business Review 17:6, pages 1280-1295.
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Rudra P. Pradhan, Mak B. Arvin & Sahar Bahmani. (2015) Causal nexus between economic growth, inflation, and stock market development: The case of OECD countries. Global Finance Journal 27, pages 98-111.
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Osama M. Badr. (2015) Stock Market Development and Economic Growth: Evidences from Egypt. International Journal of Trade, Economics and Finance 6:2, pages 96-101.
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A. Vijayakumar. (2010) Effect of Financial Performance on Share Prices in the Indian Corporate Sector: An Empirical Study. Management and Labour Studies 35:3, pages 369-381.
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Antonio Díaz & Francisco Jareño. (2009) Explanatory factors of the inflation news impact on stock returns by sector: The Spanish case. Research in International Business and Finance 23:3, pages 349-368.
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George Hondroyiannis & Evangelia Papapetrou. (2006) Stock returns and inflation in Greece: A Markov switching approach. Review of Financial Economics 15:1, pages 76-94.
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