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International Review of Financial Analysis|December 26, 2022
Economic resiliency and recovery, lessons from the financial crisis for the COVID-19 pandemic: A regional perspective from Central and Eastern EuropeJosef C Brada, Paweł Gajewski, Ali M Kutan
International Review of Financial Analysis|December 26, 2022
Asymmetric volatility spillover among Chinese sectors during COVID-19Syed Jawad Hussain Shahzad, Muhammad Abubakr Naeem, Zhe Peng, et al.
International Review of Financial Analysis|December 26, 2022
Dynamic spillovers between energy and stock markets and their implications in the context of COVID-19Hua Zhang, Jinyu Chen, Liuguo Shao
International Review of Financial Analysis|January 17, 2023
Extreme spillover effect of COVID-19 pandemic-related news and cryptocurrencies on green bond markets: A quantile connectedness analysisRabeh Khalfaoui, Salma Mefteh-Wali, Buhari Dogan, et al.
International Review of Financial Analysis|December 19, 2022
The impact of COVID-19 pandemic on transmission of monetary policy to financial marketsXiaoyun Wei, Liyan Han
International Review of Financial Analysis|December 19, 2022
Assessing the safe haven property of the gold market during COVID-19 pandemicAfees A Salisu, Ibrahim D Raheem, Xuan Vinh Vo
International Review of Financial Analysis|December 20, 2022
Geographical diversification using ETFs: Multinational evidence from COVID-19 pandemicHamed Yousefi, Mohammad Najand
International Review of Financial Analysis|December 20, 2022
Pandemic-driven financial contagion and investor behavior: Evidence from the COVID-19Ying Yuan, Haiying Wang, Xiu Jin
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