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This paper compares the performance of safe haven assets during two stressful stock market regimes – the 2008 Global Financial Crisis (GFC) and COVID-19 pandemic. Our analysis across the ten largest economies in the world shows that the traditional choice, gold, acts as a safe haven during the...
Persistent link: https://www.econbiz.de/10012835390
The COVID-19 pandemic has induced chaos and turbulence in financial markets. The ongoing discussions and expectations for the future are quite bleak. In this study, we analyze the current status of the deterioration in foreign exchange markets by comparing it with the turbulence seen in the...
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This research is willing to evaluate the behavior and characteristics of a worldwide pandemic economic crisis (COVID-19) and a global financial crisis in the year 2008. We propose a new indicator to compare these two types of crises. The new indicator is entitled “The economic leakage Index...
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This paper explores price spillover effects around the COVID-19 pandemic market meltdown between the S&P 500 index, five other financial markets, and the VIX. Frequency domain causalities are estimated for the January-May 2020 time period on a high-frequency data set at five-minute intervals....
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