US Sectors and Geopolitical Risk: The Investor's Perspective DOI
Tonmoy Choudhury

Finance research letters, Год журнала: 2024, Номер unknown, С. 106690 - 106690

Опубликована: Дек. 1, 2024

Язык: Английский

Editorial for the VSI: Political risks in Europe DOI

Jamel Saadaoui,

Amélie Barbier-Gauchard,

Jan‐Egbert Sturm

и другие.

European Journal of Political Economy, Год журнала: 2025, Номер unknown, С. 102644 - 102644

Опубликована: Янв. 1, 2025

Язык: Английский

Процитировано

0

What drives abnormal returns of stock markets in wartime? Evidence from 17 invasions DOI

Vincent Hoffmann,

Luu Duc Toan Huynh, Mei Wang

и другие.

European Journal of Political Economy, Год журнала: 2025, Номер 86, С. 102643 - 102643

Опубликована: Янв. 1, 2025

Язык: Английский

Процитировано

0

Unveiling the Impacts of Geopolitical Risk on the Transition to the Decentralized Financial Landscape DOI
Νikolaos Kyriazis, Emmanouil M. L. Economou

Peace Economics Peace Science and Public Policy, Год журнала: 2025, Номер unknown

Опубликована: Янв. 31, 2025

Abstract This paper examines the dynamic interplay between global geopolitical risk and eleven decentralized finance (DeFi) digital currencies during inflationary burden caused by Russia-Ukraine war episodes. Daily data spanning from 13 October 2021 to 29 2024 innovative Quantile-Vector Autoregressive (Q-VAR) methodology are employed for estimating pairwise, joint network linkages at lower, middle upper quantiles. High levels of more connected with bull markets DeFi assets new episodes strengthen this relation. Geopolitical tensions combined high inflation lead GPR becoming major determinant so contributing transition cashless financial system. Maker is leading asset in constitutes a promising successor fiat that suffer devaluation generated conflicts.

Язык: Английский

Процитировано

0

Does geopolitical distress tip the European financial stock markets into a great uncertainty regime? DOI
David Neto

Research in Economics, Год журнала: 2025, Номер unknown, С. 101052 - 101052

Опубликована: Март 1, 2025

Язык: Английский

Процитировано

0

Propagation of Geopolitical Risks to the Federal Reserve's Policy Toolkit DOI Open Access
Langfeng Zhou

Economic Papers A journal of applied economics and policy, Год журнала: 2025, Номер unknown

Опубликована: Март 27, 2025

This paper investigates the transmission mechanisms through which geopolitical risk (GPR) shocks affect Federal Reserve (Fed) monetary policy, incorporating both conventional and unconventional policy tools. It introduces a structural model – Macro‐Monetary Geopolitical Risk (MM‐GPR) that integrates New Keynesian features, such as nominal frictions rational expectations. The findings indicate GPR significantly impacts economy, prompting corresponding responses from Fed. Heightened uncertainty leads to rising inflation, suppressing real economic activity by reducing consumption investment, while increasing unemployment. Two experiments simulate Fed's expansionary contractionary under surges reliefs. results reveal that, whether rises or subsides, optimal for Fed remains expansionary. These offer crucial guidance policy‐makers in navigating amid uncertainty. contributes theoretical empirical macroeconomic modelling into framework, addressing key gap existing models including

Язык: Английский

Процитировано

0

Geopolitical risk and real estate stock crash DOI
Emmanuel Joel Aikins Abakah, Mohammad Abdullah, Omokolade Akinsomi

и другие.

Finance research letters, Год журнала: 2025, Номер unknown, С. 107333 - 107333

Опубликована: Март 1, 2025

Язык: Английский

Процитировано

0

Taiwan’s stock market resilience to increasing geopolitical risk DOI
Javier López Prol

Finance research letters, Год журнала: 2025, Номер unknown, С. 107319 - 107319

Опубликована: Апрель 1, 2025

Язык: Английский

Процитировано

0

Investor Trends During Periods of Geopolitical Risk in Turkey: Which Assets Serve as Safe Havens? DOI Creative Commons
Durmuş Çağrı Yıldırım, Miraç Eren, Mesut Doğan

и другие.

Borsa Istanbul Review, Год журнала: 2025, Номер unknown

Опубликована: Апрель 1, 2025

Язык: Английский

Процитировано

0

Geopolitical risk and the volatility of GCC stock markets around the war on the Gaza Strip DOI
Nedal Al‐Fayoumi, Elie Bouri,

Bana Abuzayed

и другие.

Defence and Peace Economics, Год журнала: 2025, Номер unknown, С. 1 - 22

Опубликована: Май 9, 2025

Язык: Английский

Процитировано

0

War Discourse Predicts Stock Market Volatility: A Century of Evidence DOI
Zhiping Zhou, Kai Wang

Finance research letters, Год журнала: 2025, Номер unknown, С. 107567 - 107567

Опубликована: Май 1, 2025

Язык: Английский

Процитировано

0