Short term market reaction to the U.S. quantitative easing announcement of September 13th, 2012

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dc.contributor.advisor Boabang, Francis
dc.coverage.spatial United States
dc.creator Yijing, Ding
dc.date.accessioned 2013-09-18T15:47:27Z
dc.date.available 2013-09-18T15:47:27Z
dc.date.issued 2013
dc.identifier.uri http://library2.smu.ca/xmlui/handle/01/25200
dc.description 1 online resource (vi, 31 p.) : col. ill.
dc.description Includes abstract and appendices.
dc.description Includes bibliographical references (p. 26-29).
dc.description.abstract U.S. government made the third quantitative easing announcement on September 13th, 2012. Previous study has focused more on the other macroeconomic variables. This paper mainly examines the stock market reaction to this announcement. Because of the failure in previous quantitative easing monetary policy, most study perceives this unconventional monetary tool as negative effect to the market. Using a standard event study methodology, several findings are noted. First, the quantitative easing announcements in the U.S. tend to have a positive impact on the stock returns. Second, a positive abnormal return is also detected on the day prior to the event day. Last, different industries show different reaction to this announcement. Therefore, the third quantitative easing has helped investors rebuild their confidence in the short term market. en_CA
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dc.language.iso en en_CA
dc.publisher Halifax, N.S. : Saint Mary's University
dc.title Short term market reaction to the U.S. quantitative easing announcement of September 13th, 2012 en_CA
dc.type Text en_CA
thesis.degree.name Master of Finance
thesis.degree.level Masters
thesis.degree.discipline Finance, Information Systems, & Management Science
thesis.degree.grantor Saint Mary's University (Halifax, N.S.)
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