These tools will no longer be maintained as of December 31, 2024. Archived website can be found here. PubMed4Hh GitHub repository can be found here. Contact NLM Customer Service if you have questions.


BIOMARKERS

Molecular Biopsy of Human Tumors

- a resource for Precision Medicine *

724 related articles for article (PubMed ID: 33044995)

  • 1. Stock market comovements among Asian emerging economies: A wavelet-based approach.
    Younis I; Longsheng C; Basheer MF; Joyo AS
    PLoS One; 2020; 15(10):e0240472. PubMed ID: 33044995
    [TBL] [Abstract][Full Text] [Related]  

  • 2. Risk and causality Co-movement of Malaysia's stock market with its emerging and OECD trading partners. Evidence from the wavelet approach.
    Wang X; Guo H; Waris M; Din BH
    PLoS One; 2024; 19(1):e0296712. PubMed ID: 38271459
    [TBL] [Abstract][Full Text] [Related]  

  • 3. Impact persistence of stock market risks in commodity markets: Evidence from China.
    Ding S; Yuan Z; Chen F; Xiong X; Lu Z; Cui T
    PLoS One; 2021; 16(11):e0259308. PubMed ID: 34748595
    [TBL] [Abstract][Full Text] [Related]  

  • 4. Scaling and volatility of breakouts and breakdowns in stock price dynamics.
    Liu L; Wei J; Huang J
    PLoS One; 2013; 8(12):e82771. PubMed ID: 24376577
    [TBL] [Abstract][Full Text] [Related]  

  • 5. Time-frequency domain analysis of investor fear and expectations in stock markets of BRIC economies.
    Owusu Junior P; Adam AM; Asafo-Adjei E; Boateng E; Hamidu Z; Awotwe E
    Heliyon; 2021 Oct; 7(10):e08211. PubMed ID: 34754971
    [TBL] [Abstract][Full Text] [Related]  

  • 6. Unraveling hidden order in the dynamics of developed and emerging markets.
    Berman Y; Shapira Y; Ben-Jacob E
    PLoS One; 2014; 9(11):e112427. PubMed ID: 25383630
    [TBL] [Abstract][Full Text] [Related]  

  • 7. Cross-correlation asymmetries and causal relationships between stock and market risk.
    Borysov SS; Balatsky AV
    PLoS One; 2014; 9(8):e105874. PubMed ID: 25162697
    [TBL] [Abstract][Full Text] [Related]  

  • 8. Systemic risk spillover between the stock market and banking deposits: Evidence from a sustainability perspective in the South Asian countries.
    Liu L; Rafique A; Abbas N; Umer Quddoos M; Ahmad MM; Siddiqi AA
    PLoS One; 2024; 19(7):e0288310. PubMed ID: 38976690
    [TBL] [Abstract][Full Text] [Related]  

  • 9. Market liquidity and volatility: Does economic policy uncertainty matter? Evidence from Asian emerging economies.
    Muzaffar Z; Malik IR
    PLoS One; 2024; 19(6):e0301597. PubMed ID: 38861525
    [TBL] [Abstract][Full Text] [Related]  

  • 10. Dynamic evolution of cross-correlations in the Chinese stock market.
    Ren F; Zhou WX
    PLoS One; 2014; 9(5):e97711. PubMed ID: 24867071
    [TBL] [Abstract][Full Text] [Related]  

  • 11. The US stock market leads the federal funds rate and treasury bond yields.
    Guo K; Zhou WX; Cheng SW; Sornette D
    PLoS One; 2011; 6(8):e22794. PubMed ID: 21857954
    [TBL] [Abstract][Full Text] [Related]  

  • 12. The source of financial contagion and spillovers: An evaluation of the covid-19 pandemic and the global financial crisis.
    Gunay S; Can G
    PLoS One; 2022; 17(1):e0261835. PubMed ID: 35030202
    [TBL] [Abstract][Full Text] [Related]  

  • 13. Statistical properties and pre-hit dynamics of price limit hits in the Chinese stock markets.
    Wan YL; Xie WJ; Gu GF; Jiang ZQ; Chen W; Xiong X; Zhang W; Zhou WX
    PLoS One; 2015; 10(4):e0120312. PubMed ID: 25874716
    [TBL] [Abstract][Full Text] [Related]  

  • 14. Covid-19 health policy intervention and volatility of Asian capital markets.
    Hunjra AI; Kijkasiwat P; Arunachalam M; Hammami H
    Technol Forecast Soc Change; 2021 Aug; 169():120840. PubMed ID: 36540547
    [TBL] [Abstract][Full Text] [Related]  

  • 15. The relationship between political instability and stock market performance: An analysis of the MSCI index in the case of Pakistan.
    Mai Z; Nawaz Saleem HM; Kamran M
    PLoS One; 2023; 18(10):e0292284. PubMed ID: 37856493
    [TBL] [Abstract][Full Text] [Related]  

  • 16. Emerging stock market reactions to shocks during various crisis periods.
    Bhowmik R; Debnath GC; Debnath NC; Wang S
    PLoS One; 2022; 17(9):e0272450. PubMed ID: 36099256
    [TBL] [Abstract][Full Text] [Related]  

  • 17. Sign realized jump risk and the cross-section of stock returns: Evidence from China's stock market.
    Chao Y; Liu X; Guo S
    PLoS One; 2017; 12(8):e0181990. PubMed ID: 28771514
    [TBL] [Abstract][Full Text] [Related]  

  • 18. Testing volatility and relationship among BRICS stock market returns.
    Ganguly S; Bhunia A
    SN Bus Econ; 2022; 2(8):111. PubMed ID: 35919285
    [TBL] [Abstract][Full Text] [Related]  

  • 19. Do Earthquakes Shake Stock Markets?
    Ferreira S; Karali B
    PLoS One; 2015; 10(7):e0133319. PubMed ID: 26197482
    [TBL] [Abstract][Full Text] [Related]  

  • 20. Change in hierarchy of the financial networks: A study on firms of an emerging market in Bangladesh.
    Rakib MI; Alam MJ; Akter N; Tuhin KH; Nobi A
    PLoS One; 2024; 19(5):e0301725. PubMed ID: 38820405
    [TBL] [Abstract][Full Text] [Related]  

    [Next]    [New Search]
    of 37.