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This paper aims to investigate and compare two stock market crashes in Bangladesh and suggest policy measure to prevent such collapses in the future. In doing so, it was found that the crashes have certain similarities between them in numerous aspects. Finally, policy measures such as building the confidence of investors, reducing moral hazard, educating the investors, empowering the regulators etc. were suggested.
經營と經濟, vol.91(4), pp.55-66; 2012
収録刊行物
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- 経営と経済
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経営と経済 91 (4), 55-66, 2012-03-25
長崎大学経済学会
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詳細情報 詳細情報について
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- CRID
- 1050287297274990208
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- NII論文ID
- 110009494178
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- NII書誌ID
- AN00069150
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- ISSN
- 02869101
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- HANDLE
- 10069/28520
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- NDL書誌ID
- 023625693
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- 本文言語コード
- en
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- 資料種別
- departmental bulletin paper
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- データソース種別
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- IRDB
- NDL
- CiNii Articles