Russian stock market in the aftermath of the Ukrainian crisis
This paper studies the dynamic relationship between returns in the Russian stock market and global equity markets in the aftermath of the 2014 Ukrainian crisis. We apply dynamic goodness-of-fit and bootstrapped regression approaches to study the behavior of global equity indices. Our results reveal...
Main Authors: | Eugene Nivorozhkin, Giorgio Castagneto-Gissey |
---|---|
Format: | Article |
Language: | English |
Published: |
Voprosy Ekonomiki
2016-03-01
|
Series: | Russian Journal of Economics |
Subjects: | |
Online Access: | http://www.sciencedirect.com/science/article/pii/S2405473916300022 |
Similar Items
-
The Ukrainian Crisis as a Case Study of Different Policymaking Styles of Russia and China
by: Michał Lubina
Published: (2018-12-01) -
To understand Ukraine. The State of the Russian Ukrainian Studies
by: Victor Mironenko
Published: (2018-12-01) -
Competitiveness in the Ukrainian stock market and local crisis of 2013–2015
by: Alex Plastun, et al.
Published: (2018-04-01) -
The battle of giants: the collision of EU and Russian foreign policies towards the contested neighbourhood and the Ukrainian crisis
by: Vanda Amaro Dias
Published: (2018-01-01) -
Geopolitical consequences of the escalation of the Ukrainian crisis
by: Proroković Dušan N.
Published: (2022-01-01)