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In this paper we examine the impact of the breakout of the conflict between Russia and Ukraine on the G20 and other selected stock markets using the event study approach. The analysis of the abnormal returns (AR) before and after the launch of the ‘special military operation’ by Russian...
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Previous studies have examined the connectedness between Chinese and ASEAN stock markets using an average-based measure. However, none have analyzed the connectedness between Chinese and ASEAN stock markets at extreme upper and lower quantiles. This study addresses this gap by estimating...
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This study examines herding behavior in the Pakistani Stock Market under different market conditions, focusing on the Ramadan effect and Crisis period by using data from 2004 to 2014. Two regression models of Christie and Huang (Financ Analysts J 51:31–37, 1995) and Chang et al., (J Bank...
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