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unconventional monetary policy shields the Eurozone stock markets against spillovers of volatility from the US stock market. We … volatility of four Eurozone stock indices (CAC40, DAX30, FTSEMIB and IBEX35), we find how the increase in volatility brought …
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debt crisis, and Brexit. The results suggest that Germany and other Eurozone countries generally share high levels of …For this paper, we dynamically analysed the comovements between three major stock markets-Germany, the UK, and the US …-and the countries of the European Union, divided into two groups: Eurozone and non-Eurozone. Correlation coefficients based on …
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