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The purpose of this study was to examine the impact of Global Financial crises on intertwining relationship among Asian, European, and American equity markets. Weekly data of 33 major stock indices was analyzed from 1 January, 2000 to 10th September, 2010. Markets were divided into three groups...
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The aim of this seminal paper is the empirical analysis of geopolitical risk, economic policy uncertainty, financial stress, and infectious diseases' impact on financial institutions' stability at the country level. The quantitative research approach followed by regression analysis is employed...
Persistent link: https://www.econbiz.de/10014420202
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