An econometric model of the South African stock market

dc.contributor.authorMoolman, Elna
dc.contributor.authorDu Toit, Charlotte Barbara
dc.contributor.emailcharlotte.dutoit@up.ac.zaen
dc.date.accessioned2007-07-16T09:26:56Z
dc.date.available2007-07-16T09:26:56Z
dc.date.issued2005-03
dc.description.abstractA wealth of literature exists concerning the modelling of stock markets, as well as the examination of the relationship between share prices and various economic factors, both theoretically and empirically. However, most studies use data for developed countries in their analyses, while the literature modelling emerging stock markets in general, and the South African stock market in particular, is quite sparse. This study develops a structural, theoretically-founded model of the South African stock market that is estimated using co-integration and error-correction techniques. These techniques respectively estimate the long-term equilibrium level or intrinsic value of the stock market, and the short-term fluctuations around the equilibrium level. According to the results, share prices are co-integrated with the variables dictated by the expected present value model of asset price-determination. The short-term fluctuations are determined by various factors such as interest rates, a risk premium, the exchange rate, foreign stock markets and other variables.en
dc.format.extent261470 bytes
dc.format.mimetypeapplication/pdf
dc.identifier.citationMoolman, E & Du Toit, C 2005, 'An econometric model of the South African stock market', South African Journal of Economic and Management Sciences, vol. 8, no. 1, pp. 77-91. [http://www.journals.co.za/ej/ejour_ecoman.html]en
dc.identifier.issn1015-8812
dc.identifier.urihttp://hdl.handle.net/2263/3031
dc.language.isoenen
dc.publisherJutaen
dc.rightsJutaen
dc.subjectSouth African stock marketen
dc.subjectEconometric modelen
dc.subject.lcshStock exchanges -- Econometric models -- South Africa
dc.titleAn econometric model of the South African stock marketen
dc.typeArticleen

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