COVID-19 pandemic and stability of stock market—A sectoral approach
M Buszko, W Orzeszko, M Stawarz - Plos one, 2021 - journals.plos.org
The COVID-19 pandemic seems to be the most important phenomenon observed from
March 2020 in virtually all countries of the world. The necessity to prevent the spread of …
March 2020 in virtually all countries of the world. The necessity to prevent the spread of …
Impacts of carbon market and climate policy uncertainties on financial and economic stability: Evidence from connectedness network analysis
C Liang, JW Goodell, X Li - Journal of International Financial Markets …, 2024 - Elsevier
We use the conditional network connectedness approach of Stenfors et al.(2022) along with
its frequency-domain, and tail and dynamic extensions to explore complex linkages among …
its frequency-domain, and tail and dynamic extensions to explore complex linkages among …
Oil shocks and financial systemic stress: International evidence
X Qin - Energy Economics, 2020 - Elsevier
By conducting a structural VAR analysis on the financial systemic stress in 20 countries, this
paper provides international evidence that oil structural shocks impact not only stress in …
paper provides international evidence that oil structural shocks impact not only stress in …
Do institutions, religion and the economic cycle impact bank stability in dual banking systems?
E Bektas, M Elbadri, P Molyneux - Journal of International …, 2022 - Wiley Online Library
We investigate the relationship of institutional quality, religion, and economic cycles to bank
stability using a sample of 254 banks, including Islamic (IBs) and conventional banks (CBs) …
stability using a sample of 254 banks, including Islamic (IBs) and conventional banks (CBs) …
Financial stability, monetary stability and growth: a PVAR analysis
G Apostolakis, AP Papadopoulos - Open Economies Review, 2019 - Springer
This paper employs a panel vector autoregressive (PVAR) model to investigate the
relationship among financial stress, inflation and growth in 19 advanced economies over the …
relationship among financial stress, inflation and growth in 19 advanced economies over the …
[PDF][PDF] Поиск оптимальной глубины и структуры финансового сектора с точки зрения экономического роста, макроэкономической и финансовой стабильности
М Мамонов, Р Ахметов, В Панкова… - Деньги и …, 2018 - publications.hse.ru
Задача данного исследования заключается в количественном определении целевых
ориентиров развития финансового сектора, обеспечивающих при прочих равных …
ориентиров развития финансового сектора, обеспечивающих при прочих равных …
Do anticorruption efforts affect banking system stability?
KC Ho, JZ Ma, L Yang, L Shi - The Journal of International Trade & …, 2019 - Taylor & Francis
This paper examines whether the level of anticorruption efforts in a country affects the
stability of its banking system. After analyzing banking system stability in a large …
stability of its banking system. After analyzing banking system stability in a large …
Leading indicators of financial stress: New evidence
B Vašíček, D Žigraiová, M Hoeberichts… - Journal of Financial …, 2017 - Elsevier
This paper examines which variables have predictive power for financial stress in 25 OECD
countries, using a recently constructed financial stress index (FSI). First, we employ …
countries, using a recently constructed financial stress index (FSI). First, we employ …
Hedging inflation with individual US stocks: A long-run portfolio analysis
G Bampinas, T Panagiotidis - The North American Journal of Economics …, 2016 - Elsevier
This paper examines whether individual stocks can act as inflation hedgers. We focus on
longer investment horizons and construct in-and out-of-sample portfolios based on the long …
longer investment horizons and construct in-and out-of-sample portfolios based on the long …
Monetary policy and financial stability: the role of inflation targeting
This article examines the relationship between Inflation targeting (IT) and financial instability
from 1990 to 2015 for Asian economies. To measure financial instability, a multidimensional …
from 1990 to 2015 for Asian economies. To measure financial instability, a multidimensional …