COVID-19: Media coverage and financial markets behavior—A sectoral inquiry

O Haroon, SAR Rizvi - Journal of behavioral and experimental finance, 2020 - Elsevier
We analyze the relationship between sentiment generated by coronavirus-related news and
volatility of equity markets. The ongoing coronavirus outbreak (COVID-19) resulted in …

[HTML][HTML] COVID-19 and investor sentiment influence on the US and European countries sector returns

PN Reis, C Pinho - 2020 - europepmc.org
Although some studies recently address the association between COVID-19 sentiment and
returns, volatility, or stock trading volume, no one conducts an analysis to measure the …

[PDF][PDF] Oil and stock markets volatility during pandemic times: A review of G7 countries

TM Awan, MS Khan, IU Haq, S Kazmi - Green Finance, 2021 - aimspress.com
This review aims to produce insight into the volatilities trio (COVID-19 crisis, stock markets,
and crude oil volatility). The understanding of risk trends in stock markets of G7 economies …

[HTML][HTML] Using machine learning to analyze the impact of coronavirus pandemic news on the stock markets in GCC countries

A Al-Maadid, S Alhazbi, K Al-Thelaya - Research in International Business …, 2022 - Elsevier
COVID-19 has resulted in high volatility in financial markets across the world. The goal of
this study is to investigate the impact of COVID-19-related news on the stock markets in Gulf …

The COVID-19 pandemic uncertainty, investor sentiment, and global equity markets: Evidence from the time-frequency co-movements

SR Dash, D Maitra - The North American Journal of Economics and Finance, 2022 - Elsevier
We use daily data of the Google search engine volume index (GSVI) to capture the
pandemic uncertainty and examine its effect on stock market activity (return, volatility, and …

[HTML][HTML] Immune or at-risk? Stock markets and the significance of the COVID-19 pandemic

N O'Donnell, D Shannon, B Sheehan - Journal of Behavioral and …, 2021 - Elsevier
The closure of borders and traditional commerce due to the COVID-19 pandemic is
expected to have a lasting financial impact. We determine whether the growth in COVID-19 …

Commodity and financial markets' fear before and during COVID-19 pandemic: Persistence and causality analyses

OB Adekoya, JA Oliyide - Resources Policy, 2022 - Elsevier
Commodity and financial markets are leading points of attraction to investors, but are very
sensitive to external crises, such as financial and health crises. An example is the …

Analysis of risk correlations among stock markets during the COVID-19 pandemic

JF Wu, C Zhang, Y Chen - International Review of Financial Analysis, 2022 - Elsevier
The outbreak of the COVID-19 pandemic significantly negatively impacted the global
economy and stock markets. This paper investigates the stock-market tail risks caused by …

The effects of the covid-19 pandemic on conventional and Islamic stock markets in Turkey

S Erdoğan, A Gedikli, Eİ Çevik - bilimname, 2020 - dergipark.org.tr
In order to reveal the macroeconomic effects of the Covid-19 pandemic, financial markets
should also be handled in addition to the real sector. Investigating the changes in the stock …

Investor sentiments and stock markets during the COVID-19 pandemic

E Cevik, B Kirci Altinkeski, EI Cevik, S Dibooglu - Financial Innovation, 2022 - Springer
This study examines the relationship between positive and negative investor sentiments and
stock market returns and volatility in Group of 20 countries using various methods, including …