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Writing two scientific dissertations (for a master report) about: “Financial crisis, business cycle, excessive volatility: Empirical evidence on developed and emerging countries” and “Financial crisis and stock market correlation: Empirical evidence on de

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Project Budget
$30 - $250 USD
Completed In
3 days
Total Bids
15
Project Description

Language: French or English

Use scientific articles as references (mainly articles and a few working paper)
Use updating references
Each section must contain at least 14 pages and be composed of several sub-section and sub-titles, each sub-section must be preceded by an introduction
Layout: Calibri; Size-11; Line Spacing: Fixed-12pt; Paragraph Spacing: Above Paragraph-0pt, Below Paragraph-4pt
No plagiarism (I will check for plagiarism)
You have to cite many theoretical and empirical works
You have to cite the reference of every definition
Every state have to be accompanied by its reference: According to, as highlighted by ….
Insert some tables and figures, but don’t forget to cite the reference as follows (Authors (date); page)
Bibliography (for each chapter minimum 100 articles and working papers)

The Plan:
Chapter 1. Financial crisis, business cycle, excessive volatility: Empirical evidence on developed and emerging countries
Introduction : (2 pages)
Section 1. Business cycle : Theoretical Foundations (12 pages)
Introduction
Sub-sections: Business cycle: Theoretical Foundations: What’s a Business cycle; Different forms of the Business cycle, Interaction between Business and financial cycles, Real sphere and financial sphere: connection/disconnection; Business cycle and financial crisis….
Section 2. Financial crisis, business cycle, excessive volatility: Panoramas of the empirical work (15 pages)
Introduction;
Sub-sections: volatility, crises and recessions (Relationship between price volatility and behavior of macroeconomic variables ; Relationship between price volatility and financial crises ); Statistical models for stock volatility; Financial crisis, business cycle, excessive volatility: main empirical works….
(See for example: Schwert, G., W., et Simon, W. E., 1989. Business Cycles, Financial Crises and Stock Volatility. Carnegie-Rochester Conference series on public. V.31. P.83-126)
Insert tables in which you resume the main empirical works (use also recent literature until 2013 ) as follow, for example:
Authors 1 Authors 2 Authors 3, etc
Periods of the study
Sample of countries
Data frequency
Model used
Findings
Conclusion
Bibliography

Chapter 2. Financial crisis and stock market correlation: Empirical evidence on developed and emerging countries
Introduction (2 pages)
Section 1. Financial crises and contagion (12 pages)
Introduction
Sub-sections: Financial crises and channels of contagion; Contagion theory, Different forms of Contagion (Focus on psychological contagion )
Section 2. Financial crisis and stock market correlation: Panoramas of the empirical work (15 pages)
Introduction;
Sub-sections: Shift contagion and co-movement of financial markets, correlations between financial markets on financial crises periods; models measuring Shift contagion, main empirical work on correlations between financial markets on financial crises periods
Insert tables in which you resume the main empirical works (use also recent literature until 2013 ) as follow, for example:
Authors 1 Authors 2 Authors 3, etc
Periods of the study
Sample of countries
Data frequency
Model used
Findings
Conclusion
Bibliography
As an example of references: Forbes and Rigobon (2002), Caporale, Cipollini and Spagnolo (2005), Chiang, Jeon and Li (2007) and Flavin and Panopoulou (2007, 2008)

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