Journal of Economics and Management (Mar 2020)

Factors affecting stock return volatility in the banking sector in the euro zone

  • Niewińska Katarzyna

DOI
https://doi.org/10.22367/jem.2020.39.07
Journal volume & issue
Vol. 39, no. 1
pp. 132 – 148

Abstract

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Aim/purpose – The purpose of this paper is to examine the influence of internal and external historical determinants on the volatility of banks’ stock returns in the euro zone. A dedicated database has been created to identify factors significantly affecting volatility.

Keywords