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International Review of Financial Analysis|December 19, 2022
Immunizing markets against the pandemic: COVID-19 vaccinations and stock volatility around the worldWael Rouatbi, Ender Demir, Renatas Kizys, et al.
International Review of Financial Analysis|December 19, 2022
Impacts of COVID-19 outbreak, macroeconomic and financial stress factors on price spillovers among green bondWalid Mensi, Mobeen Ur Rehman, Xuan Vinh Vo
International Review of Financial Analysis|December 19, 2022
Sovereign credit ratings during the COVID-19 pandemicYen Tran, Huong Vu, Patrycja Klusak, et al.
International Review of Financial Analysis|December 19, 2022
COVID-19 Pandemic and firm-level dynamics in the USA, UK, Europe, and JapanWasim Ahmad, Ali M Kutan, Rishman Jot Kaur Chahal, et al.
International Review of Financial Analysis|December 20, 2022
Gold or Bitcoin, which is the safe haven during the COVID-19 pandemic?Fenghua Wen, Xi Tong, Xiaohang Ren
International Review of Financial Analysis|December 26, 2022
On equity market inefficiency during the COVID-19 pandemicRobert Navratil, Stephen Taylor, Jan Vecer
International Review of Financial Analysis|November 28, 2022
COVID-19 and finance scholarship: A systematic and bibliometric analysisSabri Boubaker, John W Goodell, Satish Kumar, et al.
International Review of Financial Analysis|March 21, 2023
Have the predictability of oil changed during the COVID-19 pandemic: Evidence from international stock marketsHui Ding, Yisu Huang, Jiqian Wang
International Review of Financial Analysis|April 15, 2024
They're back! Post-financialization diversification benefits of commoditiesMarie-Hélène Gagnon, Guillaume Manseau, Gabriel J Power
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