Question
Your data indicates that the stock market indices of all the countries studied increased between 2005 and 2006. Unexpectedly, interest rates for all but one
Your data indicates that the stock market indices of all the countries studied increased between
2005 and 2006. Unexpectedly, interest rates for all but one country also increased during that
period. Perhaps this is partially due to the positive inflation rates in all of these countries. You
would like to find out more information. However, there are variations in the direction and in the
size of these changes for each country and this complicates your analysis. MY PART IS = What additional macroeconomic variables should an
investor consider when comparing foreign versus domestic investments?
I know that the interest rates, exchange rates and inflation will effect the net profit but i was wondering if you could please guide me further and help me in more details because i need to present for this part. Thank you for your time.
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