声明
致谢
CHAPTER 1: INTRODUCTION
1.1 Background of the Study
1.2 Motivation of the Research
1.3 Research problem
1.4 Theoretical Background
1.5 Objectives of the Study
1.6 Research questions:
1.7 Contributions of the Study:
CHAPTER 2: STOCK MARKETS IN GLOBAL AREA
2.1 Overview of Global Stock Markets
2.2 Emerging economies popular blocks
CHAPTER 3:LITERATURE REVIEW
CHAPTER 4:HYPOTHESIS DEVELOPMENT
4.1 Financial freedom and stock market development
4.2. Property rights and stock market development
4.3. Government regulations and stock market development
4.4. Individualism and stock market development
4.5. Uncertainty avoidance and stock market development
4.6. Trust and stock market development
4.7. IFRS uniformity and stock market development
CHAPTER 5: THEORETICAL UNDERPINNING AND MODELS
5.1. Financial Freedom and Stock Market Development
5.2. Property Rights and Stock Market Development
5.3. Regulations and Stock Market Development
5.4. Individualism and Stock Market Development
5.5. Uncertainty Avoidance and Stock Market Development
5.6. Trust and Stock Market Development
5.7. IFRS uniformity and Stock Market Development
CHAPTER 6: DATA AND METHODOLOGICAL FRAMEWORK
6.1. Data sources
6.2. Econometric Methodology
CHAPTER 7:EMPIRICAL ANALYSIS AND RESULTS
CHAPTER 8:CONCLUSION AND POLICY IMPLICATIONS
8.1 Conclusion
8.2. Policy Implications
APPENDIX
参考文献
中南财经政法大学;