FINANCIAL MARKETS IN BOSNIA AND HERZEGOVINA TEN YEARS AFTER GLOBAL FINANCIAL CRISIS Cover Image

TRŽIŠTE KAPITALA BOSNE I HERCEGOVINE DESETLJEĆE NAKON GLOBALNE FINANCIJSKE KRIZE
FINANCIAL MARKETS IN BOSNIA AND HERZEGOVINA TEN YEARS AFTER GLOBAL FINANCIAL CRISIS

Author(s): Irena Planinić
Subject(s): Economy, Supranational / Global Economy, Financial Markets
Published by: Ekonomski fakultet, Sveučilište u Mostaru
Keywords: financial market; capital market;

Summary/Abstract: There is a strong correlation between economic development and the financial market. Economic development drives the growth of savings and thus the development of the financial market. An indicator of financial market development is market capitalization, measured as % of nominal GDP. The paper analyzes the development of the capital market of Bosnia and Herzegovina with the transition countries of Central and Eastern Europe. Applying the analysis methods, the descriptive method, the quantitative and the comparative method, it seeks to establish that the capital market of Bosnia and Herzegovina, high risk, is underdeveloped and poor. Comparing it with the selected transition countries of Central and Eastern Europe, from 2008 to 2018, try to determine if there are major discrepancies in the development of the capital market.

  • Issue Year: 2019
  • Issue No: XXV
  • Page Range: 140-168
  • Page Count: 15
  • Language: Croatian