Financial conditions index


The aim of the project is to calculate the financial conditions index through which we can describe mutual performance trends on different financial markets in country. It is based on the wide set of data on prices and amounts, as well as on supply and demand for financial instruments.   

Expected outputs of the project are the development of own methodology for evaluation of financial conditions index and regular calculation of indeks, as well as the publication of estimation of its value.   

Methodology: Using a wide set of variables, through econometric methods to single out those which best describe performance on financial markets in country. 

Commissioned by: EIZ Club
Project duration: December 15, 2016 – December 31, 2016 
Project leaderTajana Barbić, PhD
CollaboratorMaruška Vizek, PhD

 

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