Please use this identifier to cite or link to this item: http://repository.hneu.edu.ua/handle/123456789/29968
Title: Model of the Relationship Between ETFs of Individual European Countries: Austria, Belgium, Denmark, Croatia, Hungary
Authors: Prokopovych S.
Sosnov I.
Lyashenko V.
Keywords: model
analysis
relationship
ratio
investments
time series
ETF funds
stock market
wavelet methodology
statistical characteristics
Issue Date: 2023
Citation: Prokopovych S. Model of the Relationship Between ETFs of Individual European Countries: Austria, Belgium, Denmark, Croatia, Hungary / S. Prokopovych, I. Sosnov, V. Lyashenko // International Journal of Academic Management Science Research (IJAMSR). – 2023. - Vol. 7. - Issue 3. - P. 59-65.
Abstract: The development of the economy is associated with the continuity of the investment process on an ongoing basis. Raising funds is possible through bank lending or through the securities market. We consider investments that are received in the stock market. For these purposes, as a rule, ETF funds are used. This allows you to diversify the source of borrowing and reduce risks. But at the same time, one should pay attention to the markets where such funds operate. Each regional market has its own specifics, factors that determine the characteristics of securities trading. You should also take into account the relationship between such structural units of the overall investment process. For the analysis, we use descriptive statistics that help to understand the current trends for investing in the market. We also use wavelet coherence, which is the basis for modeling relationships. This is necessary in order to assess the impact of different segments of the ETF market. The paper considers such countries as Austria, Belgium, Denmark, Croatia, Hungary. The results obtained allow: to evaluate investment decisions, choosing an effective strategy. Many figures and diagrams are presented in the work to understand the results.
URI: http://repository.hneu.edu.ua/handle/123456789/29968
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