Show simple item record

dc.contributor.authorKalam, Abul
dc.contributor.authorMolla, Md. Al-Amin
dc.contributor.authorHussain, Md. Mesbaul
dc.date.accessioned2022-08-27T06:14:46Z
dc.date.available2022-08-27T06:14:46Z
dc.date.issued2016-06-15
dc.identifier.issn2518-3125
dc.identifier.issn2518-3125
dc.identifier.urihttp://suspace.su.edu.bd/handle/123456789/70
dc.description.abstractThis study explores the relationship among macroeconomic variables and stock market returns in case of Dhaka Stock Market. Macro-economic variables (money supply, intetest rate' exchange rate, GDP growth rcfie and inJtation) have taken as independent variable cnd Stock Market return as dependent variable. The study period was 2001 to 2010. A simple regression analysis is pedormed to reach the conclusion. The study found that there i.g no relation betv'een macro-economic variables and Stock Market return. It implies that Stock Market returu is not sensitive to changes in the macroeconomic variables.en_US
dc.publisherSonargaon University (SU)en_US
dc.subjectStock Market Returnen_US
dc.subjectMacro Economic Variablesen_US
dc.subjectGDPen_US
dc.titleEffect of Macro Econo-mic Variables on Stock Market Returns- Bangladesh Contexten_US
dc.typeArticleen_US


Files in this item

Thumbnail

This item appears in the following Collection(s)

Show simple item record