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The effect of macroeconomic variables on government bond yields: an analysis for the European government bond market

datacite.subject.fosCiências Sociais::Economia e Gestãopt_PT
dc.contributor.advisorOttonello, Giorgio
dc.contributor.authorVeh, Lorenz
dc.date.accessioned2025-07-21T11:00:55Z
dc.date.available2025-07-21T11:00:55Z
dc.date.issued2025-01-13
dc.date.submitted2024-12-12
dc.description.abstractThis work project examines the effect of certain macroeconomic variables on the yield of government bonds. By using time series data on the weighted average of government bond yields for the 27 member states of the European Union, this research employs a Vector Error Correction Model (VECM) to uncover both short- and long-term relationships. Variables under considerations are inflation, money supply, the market interest -, the exchange - and the unemployment rate. An impulse response functions and forecast error variance decomposition analysis concludes the work to examine the significance and persistence of these effects over time.pt_PT
dc.identifier.tid203958683pt_PT
dc.identifier.urihttp://hdl.handle.net/10362/185380
dc.language.isoengpt_PT
dc.relationUID/ECO/00124/2013pt_PT
dc.subjectGovernment bond yieldspt_PT
dc.subjectMacroeconomic variablespt_PT
dc.subjectVector error correction modelpt_PT
dc.subjectImpulse response functionspt_PT
dc.subjectForecast error variance decompositionpt_PT
dc.titleThe effect of macroeconomic variables on government bond yields: an analysis for the European government bond marketpt_PT
dc.typemaster thesis
dspace.entity.typePublication
rcaap.rightsopenAccesspt_PT
rcaap.typemasterThesispt_PT
thesis.degree.nameA Work Project, presented as part of the requirements for the Award of a Master’s degree in Economics from the Nova School of Business and Economicspt_PT

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