The influence of monetary policy on the nigerian stock market

 

Table Of Contents


Chapter ONE

INTRODUCTION

  • 1.1Introduction
  • 1.2Background of Study
  • 1.3Problem Statement
  • 1.4Objective of Study
  • 1.5Limitation of Study
  • 1.6Scope of Study
  • 1.7Significance of Study
  • 1.8Structure of the Research
  • 1.9Definition of Terms

Chapter TWO

LITERATURE REVIEW

  • 2.1Overview of Monetary Policy
  • 2.2History of Monetary Policy
  • 2.3Theoretical Frameworks in Monetary Policy
  • 2.4Empirical Studies on Monetary Policy
  • 2.5Effects of Monetary Policy on Financial Markets
  • 2.6Monetary Policy Tools and Instruments
  • 2.7Monetary Policy Transmission Mechanisms
  • 2.8Challenges in Implementing Monetary Policy
  • 2.9Monetary Policy and Economic Growth
  • 2.10Summary of Literature Review

Chapter THREE

RESEARCH METHODOLOGY

  • 3.1Research Design
  • 3.2Research Approach
  • 3.3Data Collection Methods
  • 3.4Sampling Techniques
  • 3.5Data Analysis Techniques
  • 3.6Validity and Reliability
  • 3.7Ethical Considerations
  • 3.8Limitations of the Methodology

Chapter FOUR

DATA PRESENTATION AND ANALYSIS

  • 4.1Analysis of Data
  • 4.2Presentation of Findings
  • 4.3Impact of Monetary Policy on the Stock Market
  • 4.4Relationship Between Interest Rates and Stock Prices
  • 4.5Stock Market Volatility and Monetary Policy
  • 4.6Sectoral Analysis of Stock Market Performance
  • 4.7Comparison with Previous Studies
  • 4.8Discussion of Findings

Chapter FIVE

SUMMARY, CONCLUSION AND RECOMMENDATIONS

  • 5.1Summary of Findings
  • 5.2Conclusion
  • 5.3Recommendations for Future Research
  • 5.4Implications for Policy and Practice
  • 5.5Contributions to Knowledge

Project Abstract

<p> <em>This study evaluates the influence of the monetary policy on the Nigeria Stock Market using selected market indices which span from 1986 to 2014. Augmented Dickey- Fuller (ADF) Test, graphs, multiple regressions and the diagnostic test based on the coefficient of determination (R2) were adopted for the analysis, and mainly the study used secondary data. Evidence reveals that Interest rate as a monetary policy tool of the Federal Government of Nigeria has a negative influence on all share index and total market capitalisation, and positive influence on total value of securities traded, but none is significant.</em><em>&nbsp;The monetary policy tool of broad money supply exerts a positive impact on all share index, total market capitalisation and total value of securities traded, but none of the impact is significant at 1% level. Exchange rate as a monetary tool of the Federal Government of Nigeria has a negative effect on all share index, total market capitalisation and total value of securities traded, but none is significant. Inflation rate as a monetary tool of the Federal Government of Nigeria has a negative effect on all share index, total market capitalisation and total value of securities traded, but none is significant at 1% level.</em><em>&nbsp;The dominance of insignificant negative relationship between the stock market and the monetary policy variables indicates that there is a disconnection between the monetary policy and the stock market. Hence, we recommend that </em><em>there should be more urgent need for the federal legislators to recognize and deal with, through their over-sight functions, the genuine reasons why </em><em>policy makers do not align the monetary policy rate with the increasing government expenditure; and </em><em>Government should strengthen prudent monetary policy management in order to keep alternate between policies of cheap money and </em><em>tight money</em><em>&nbsp;in varying degrees to encourage boost in the stock market, and economic growth while keeping inflation under control of not more than one digit.</em> <br></p>

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