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The Impact of COVID-19 on Financial Markets and the Real Economy.
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Abstract
- Summary: This reprint comprises 17 papers published in the Special Issue entitled "The Impact of COVID-19 on Financial Markets and the Real Economy", centered on socioeconomic models affected by the pandemic (Vasin, 2022); the COVID-19 impact on various sectors or the economy as a whole, for instance in Canada (Singh et al., 2022), China (Habibi et al., 2022), Slovakia (Svabova et al., 2022), the United States (Rodousakis & Soklis, 2022) or Vietnam (Huynh et al., 2021; Nguyen et al., 2022); the benefits of teleworking on the continuity of operations across various sectors (Santos et al., 2022); research of the tourism and recreational possibilities of Russia and Kazakhstan's cross-border regions and the threats these areas faced during the pandemic (Tanina et al., 2022), the impact of the new coronavirus infection on the Russian labor market (Rodionov et al., 2022); the factors driving young Vietnamese people's intention to use financial technology in the context of the COVID-19 outbreak (Khuong et al., 2022) or those influencing access to credit for informal labor sector (Vu and Ho, 2022); predicting and analyzing Jordanian insurance firms' performance (Altarawneh et al., 2022) or developing an early warning system for solvency risk in the banking industry (Hidayat et al., 2022) during the COVID-19 pandemic; the impact of the pandemic on European stock markets (Keliuotyte-Staniuleniene and Kviklis, 2022); the drivers of cross-border mergers and acquisitions during the pandemic (Lee et al., 2021); examining the financial and fiscal variables of Ecuadorian economic groups (Tulcanaza-Prieto and Morocho-Cayamcela, 2021).
- Subjects :
- Economics, finance, business & management
Anglo-Saxon model
COVID-19
COVID-19 outbreak
COVID-19 pandemic
Canada
Chinese model
DSGE models
Dirichlet distribution
Ecuador
GARCH (1,1) model
GDP
Japanese model
Latin America
Leontief model
Rhenish (German) model
Scandinavian (Swedish) model
Stringency Index
TAM model
TRA model
US economy
Vietnam
World Pandemic Uncertainty Index
banking sector
border areas
business environment
coronavirus
corporate insolvency
credit access
disaster
early warning early action
economic concentration
economic groups
economic power
economy
entry mode
family firms
financial technology
financial time series forecasting
forecasting methods
generalized linear model (GLM)
impact
impulse response functions
industrial sectors
informal labor
information environment
informational spread of coronavirus
labor market
labour market
loan restructuring policy
market volatility
mergers and acquisitions (M&As)
monetary policy
multiplier effects
n/a
pandemic
pandemic impact
policy responses
quality of life
rural
simulation
socioeconomic model
state support measures
stock index
stock market
stock markets
sustainable development goal (SDG) index
system dynamics
technical analysis
the COVID-19 pandemic
tourism
tourism sector
tourist and recreational potential
trade
transformation
uncertainty analysis
urban
workforce
Subjects
Details
- Language :
- English
- ISBN :
- 9783036577968
9783036577975
books978-3-0365-7797-5 - ISBNs :
- 9783036577968, 9783036577975, and 9783036577975
- Database :
- Jio Institute Digital Library OPAC
- Journal :
- The Impact of COVID-19 on Financial Markets and the Real Economy
- Notes :
- 003195, FinTech, Open Access star Unrestricted online access, Creative Commons https://creativecommons.org/licenses/by/4.0/ cc https://creativecommons.org/licenses/by/4.0/, English
- Publication Type :
- eBook
- Accession number :
- jio.Koha.JDL.4614
- Document Type :
- Book; Electronic document