Guest editorial: Implications of the Russia–Ukraine conflict on the global financial markets

IF 5.7 Q1 BUSINESS, FINANCE Journal of Risk Finance Pub Date : 2023-02-03 DOI:10.1108/jrf-01-2023-244
Sabri Boubaker, A. Sarea, T. Choudhury
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Abstract

Since the World Health Organization (WHO) declared the COVID-19 outbreak as a public health emergency of international concern, the global economy has been straining under a range of burdens: surging inflation and unemployment rates, tangled global supply chains and tumbling financial markets (Batten et al., 2022;Boubaker et al., 2022;Choudhury et al., 2022;Liu et al., 2022). [...]using a difference-in-differences (DID) analysis, they investigate the epidemic's impact on the market quality of overseas companies and compare it to that of local firms with the same name. [...]the authors compare international companies based on firm-specific features and those of their home countries. According to the authors' findings, the conflict has significantly negatively influenced airlines, although it has benefited the market for military goods. According to the results, investors in these energy markets exhibit a herding behavior.
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客座社论:俄乌冲突对全球金融市场的影响
自世界卫生组织(WHO)宣布COVID-19疫情为国际关注的突发公共卫生事件以来,全球经济在一系列负担下一直处于紧张状态:通胀和失业率飙升、全球供应链混乱和金融市场暴跌(Batten等人,2022;Boubaker等人,2022;Choudhury等人,2022;Liu等人,2022)。[…他们采用差异中差异(DID)分析方法,调查了疫情对海外公司市场质量的影响,并将其与本土同名公司的市场质量进行了比较。[…作者们比较了跨国公司和他们本国公司的特点。根据作者的调查结果,冲突对航空公司产生了显著的负面影响,尽管它有利于军品市场。结果表明,这些能源市场的投资者表现出一种羊群行为。
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来源期刊
Journal of Risk Finance
Journal of Risk Finance BUSINESS, FINANCE-
CiteScore
6.20
自引率
6.70%
发文量
37
期刊介绍: The Journal of Risk Finance provides a rigorous forum for the publication of high quality peer-reviewed theoretical and empirical research articles, by both academic and industry experts, related to financial risks and risk management. Articles, including review articles, empirical and conceptual, which display thoughtful, accurate research and be rigorous in all regards, are most welcome on the following topics: -Securitization; derivatives and structured financial products -Financial risk management -Regulation of risk management -Risk and corporate governance -Liability management -Systemic risk -Cryptocurrency and risk management -Credit arbitrage methods -Corporate social responsibility and risk management -Enterprise risk management -FinTech and risk -Insurtech -Regtech -Blockchain and risk -Climate change and risk
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