Effect of money supply on the stock market

dc.contributor.authorPícha, Vladimír
dc.date.accessioned2022-01-10T01:02:12Z
dc.date.available2022-01-10T01:02:12Z
dc.date.issued2017
dc.date.updated2022-01-10T01:02:12Z
dc.description.abstractThis paper observes effect of money supply on the stock market through the portfolio balance channel as a transmission mechanism of monetary policy. National flow of funds accounts, specifically assets from US households' portfolios, represent a key data source. Johansen's cointegration methodology is employed in the empirical part of the paper to analyze both short term and long term relationships among researched variables. Estimates of vector error correction model help to reliably quantify intensity of the effect. Results show money supply excercises influence on valuation of S&P 500 index with 6 months lag. The impact is also distinguishable in the long run, whereas all observed asset classes can positively influence price of S&P 500. Findings are then contextualized in the concluding part of the paper using a monetary policy framework.en
dc.description.versionOA
dc.format465-472
dc.identifier43914273
dc.identifier.issn1211-8516
dc.identifier.urihttps://repozitar.mendelu.cz/xmlui/handle/20.500.12698/1420
dc.publisherMendelova univerzita v Brně
dc.relation.ispartofActa Universitatis Agriculturae et Silviculturae Mendelianae Brunensis
dc.relation.urihttps://doi.org/10.11118/actaun201765020465
dc.rightsCC BY-NC-ND 4.0
dc.rights.urihttps://creativecommons.org/licenses/by-nc-nd/4.0/
dc.subjectCointegrationen
dc.subjectFlow of fundsen
dc.subjectMoney supplyen
dc.subjectPortfolio balanceen
dc.subjectStock marketen
dc.subjectTransmission mechanismen
dc.subjectVECMen
dc.titleEffect of money supply on the stock marketen
dc.typeJ_ČLÁNEK
local.contributor.affiliationPEF
local.identifier.doi10.11118/actaun201765020465
local.identifier.e-issn2464-8310
local.identifier.obd43914273
local.identifier.scopus2-s2.0-85018454262
local.number2
local.volume65

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