Investment strategies in pandemic situations: An analysis and comparison of prospective returns between developed and emerging markets

IF 2 Q3 MANAGEMENT Strategic Management Pub Date : 2021-03-31 DOI:10.5937/STRAMAN2101034K
K. Kostin, P. Runge, R. Adams
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引用次数: 4

Abstract

This study empirically analyzes return data from developed and emerging markets to assess whether emerging markets show superior performance during the COVID-19 pandemic in terms of cost of equity. It analyses panel data from eight country indices of developed and emerging countries as well as eight exemplary companies from developed and emerging countries, covering the period from 2000 to 2020. The results provide evidence that emerging markets do not perform in a better way than developed markets. The findings highlight the need for a reassessment of the generalized notion that emerging markets are more profitable than developed markets in such crises which affect the core of their economic structure. It provides investors with meaningful advice on the creation of an investment strategy if they wish to perform equity investments in similar periods like the COVID-19 pandemic. The study contributes to the literature by advancing this research area and is the first study which analyzes and compares the cost of equity of developed and emerging markets during the COVID-19 pandemic.
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大流行病情况下的投资战略:发达市场和新兴市场预期回报的分析和比较
本研究实证分析了发达市场和新兴市场的回报数据,以评估新兴市场在2019冠状病毒病大流行期间是否在股权成本方面表现出色。它分析了来自发达国家和新兴国家的8个国家指数以及来自发达国家和新兴国家的8家示范企业的面板数据,时间跨度为2000年至2020年。研究结果证明,新兴市场的表现并不比发达市场好。这些发现突出表明,有必要重新评估一种普遍观念,即在影响新兴市场经济结构核心的危机中,新兴市场比发达市场更有利可图。如果投资者希望在COVID-19大流行等类似时期进行股权投资,它为投资者提供了制定投资策略的有意义的建议。该研究通过推进这一研究领域为文献做出了贡献,并且是第一个分析和比较COVID-19大流行期间发达市场和新兴市场的股权成本的研究。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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来源期刊
Strategic Management
Strategic Management MANAGEMENT-
自引率
8.30%
发文量
17
审稿时长
12 weeks
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