Strategic approach to analyze the effect of Covid-19 on the stock market volatility and uncertainty: a first and second wave perspective
Purpose – This paper aims to analyze the impact of Covid-19 on the stock market volatility and uncertainty during the first and second waves. Design/methodology/approach – This study has applied event study and autoregressive integrated moving average models using daily data of confirmed and death c...
Main Author: | Emon Kalyan Chowdhury |
---|---|
Format: | Article |
Language: | English |
Published: |
Emerald Publishing
2022-12-01
|
Series: | Journal of Capital Markets Studies |
Subjects: | |
Online Access: | https://www.emerald.com/insight/content/doi/10.1108/JCMS-05-2022-0015/full/pdf |
Similar Items
-
Measuring stock market uncertainty
by: Prasad Teja DAKEY
Published: (2023-06-01) -
Role of Economic Policy Uncertainty in the Connectedness of Cross-Country Stock Market Volatilities
by: Mudassar Hasan, et al.
Published: (2020-10-01) -
Industry-specific effects of economic policy uncertainty on stock market volatility: A GARCH-MIDAS approach
by: Simiso Msomi, et al.
Published: (2024-08-01) -
ANALYSIS OF THE DYNAMICS OF EUROPE STOCK MARKETS DEVELOPMENT
by: Olena Serhiienko, et al.
Published: (2023-08-01) -
Forecasting Analysis of Stock Prices on European Markets Using the ARIMA-GARCH Model
by: Alžběta Zíková, et al.
Published: (2023-09-01)