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1. Quantile Dependence between Crude Oil Returns and Implied Volatility: Evidence from Parametric and Nonparametric Tests.

2. Asymmetric effects of climate policy uncertainty, geopolitical risk, and crude oil prices on clean energy prices.

3. Oil price risk exposure of BRIC stock markets and hedging effectiveness.

4. Spillovers from global economic policy uncertainty and oil price volatility to the volatility of stock markets of oil importers and exporters.

5. Hedging the risk of travel and leisure stocks: The role of crude oil.

6. Does oil price volatility matter for the US transportation industry?

7. Forecasting ethanol price volatility under structural breaks.

8. Predictability of GCC stock returns: The role of geopolitical risk and crude oil returns.

9. Crude oil volatility and the biodiesel feedstock market in Malaysia during the 2014 oil price decline and the COVID-19 outbreak.

10. Dependence structure between the international crude oil market and the European markets of biodiesel and rapeseed oil.

11. Infectious Diseases, Market Uncertainty and Oil Market Volatility.

12. Crude oil prices and clean energy stock indices: Lagged and asymmetric effects with quantile regression.

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