The Consequences of the Covid-19 Pandemic on the Ghanaian Financial Markets and the Effectiveness of Government Policy Responses

James Ntiamoah Doku, Sampson B. Narteh-yoe, P. Dadzie, G. A. Nabieu, L. Boadi
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Abstract

This study analysed the consequences of COVID-19 on Ghanaian financial markets and further profiled and assessed the effectiveness of government policy interventions to contain its incidence. Using a qualitative documentary analytic approach combined with available time series data from financial market regulators between 2015 and 2021, empirical evidence shows that key profitability (ROA and ROE) measures of banks, gross insurance premium and capital market indicators were negatively affected. The containment and stringency of government policies in the wake of the pandemic do not match in equal potency with the rise in occurrences. Policy recommendations were provided.
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2019冠状病毒病大流行对加纳金融市场的影响及政府政策应对的有效性
本研究分析了COVID-19对加纳金融市场的影响,并进一步介绍和评估了政府为控制其发病率而采取的政策干预措施的有效性。利用定性文献分析方法,结合2015年至2021年金融市场监管机构提供的时间序列数据,实证证据表明,银行的关键盈利能力(ROA和ROE)指标、总保费和资本市场指标受到了负面影响。疫情爆发后,政府政策的遏制和严格程度与发病率的上升不相称。提出了政策建议。
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