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Original Artikel |
Datum |
Titel |
Autoren Alle Autoren |
1 |
[GO] |
2024―Nov―28 |
Financial flexibility or financial constraints? Zero-leverage firms during the COVID-19 pandemic |
Jiyoon Choi |
2 |
[GO] |
2024―Nov―27 |
Multi-media Textual Information, COVID-19 Sentiment and Bond Spread |
Funing Liu, Xiaolin Zhang |
3 |
[GO] |
2024―Nov―12 |
The COVID-19 Pandemic and Feedback Trading Dynamics: Unveiling Global Patterns |
Chia-Hsien Tang, Yen-Hsien Lee, Chan-Shin Chen, Ya-Ling Huang |
4 |
[GO] |
2024―Okt―05 |
Global Stock Markets during Covid-19: Did Rationality Prevail? |
Alireza Talebi, George Bragues, Seham Hadlul, Agam Sharma |
5 |
[GO] |
2024―Sep―14 |
The Bright Side of Analyst Coverage: Evidence from Stock Price Resilience during COVID-19 |
Chao ZHANG, Xiaoxiao SONG, Cancan WANG |
6 |
[GO] |
2024―Sep―06 |
Comparing the resilience of socially responsible and SIN investment during the COVID-19 pandemic |
David Meehan, Shaen Corbet |
7 |
[GO] |
2024―Aug―30 |
Connectedness and frequency connection among green bond, cryptocurrency and green energy-related metals around the COVID-19 outbreak |
Hongjun Zeng, Qingcheng Huang, Mohammad Zoynul Abedin, Abdullahi D. Ahmed, Brian Lucey |
8 |
[GO] |
2024―Jun―26 |
A greater crisis? Investigating MSA-level housing markets during the COVID-19 pandemic |
MeiChi Huang |
9 |
[GO] |
2024―Jun―07 |
New roles for energy and financial markets in spillover connections: context under COVID-19 and the Russia-Ukraine conflict |
Xiaozhu Guo, Xinjie Lu, Shaobo Mu, Min Zhang |
10 |
[GO] |
2024―Mai―27 |
Volatility transmission in the property market during two inflationary periods: The 2008-2009 global financial crisis and the COVID-19 crisis |
Bader M. Aljohani, Abubaker Fadul, Maram S. Asiri, Abdulrahman D. Alkhathami, Fakhrul Hasan |
11 |
[GO] |
2024―Mai―19 |
Supply chain risks and the cost of debt: Evidence from the COVID-19 pandemic |
Yanyi Ye, Hongping Wang, Kailan Tian, Meng Li |
12 |
[GO] |
2024―Mai―14 |
Revisiting the interdependences across global base metal futures markets: Evidence during the main waves of the COVID-19 pandemic |
Xiangyu Chen, Jittima Tongurai |
13 |
[GO] |
2024―Apr―16 |
Foreign trade and China’s yield curve during the COVID-19 pandemic: An analysis based on an extended arbitrage-free Nelson-Seigel model |
Zhiwu Hong, Zhenhan Wang, Xinda Li |
14 |
[GO] |
2024―Apr―03 |
Information Warfare: Analyzing COVID-19 News and its Economic Fallout in the US |
Partha Gangopadhyay, Narasingha Das, Satish Kumar, Tauhidul Islam Tanin |
15 |
[GO] |
2024―Feb―28 |
Agricultural commodities market reaction to COVID-19 |
Iulia Cristina Iuga, Syeda Rabab Mudakkar, Larisa Loredana Dragolea |
16 |
[GO] |
2024―Feb―16 |
How would the war and the pandemic affect the stock and cryptocurrency cross-market linkages? |
Georgios Bampinas, Theodore Panagiotidis |
17 |
[GO] |
2023―Dez―15 |
Assessing the impact of the COVID-19 crisis on sovereign default risk |
Masayasu Kanno |
18 |
[GO] |
2023―Dez―12 |
Does firm environmental performance mitigate the market reaction to COVID-19 uncertainty? |
Alessio Bongiovanni, Simona Fiandrino |
19 |
[GO] |
2023―Nov―24 |
The impact of COVID-19 on the volatility connectedness of the Chinese tourism sector |
Yang Hu, Chunlin Lang, Shaen Corbet, Junchuan Wang |
20 |
[GO] |
2023―Nov―10 |
Benefits of Corporate Social Responsibility during a Pandemic: Evidence from Stock Price Reaction to COVID-19 Related News |
Anin Rupp, Piman Limpaphayom |
21 |
[GO] |
2023―Okt―24 |
Herding in International REITs Markets around the COVID-19 Pandemic |
Keagile Lesame, Geoffrey Ngene, Rangan Gupta, Elie Bouri |
22 |
[GO] |
2023―Okt―24 |
Uncovering dynamic connectedness of Artificial Intelligence stocks with Agri-commodity market in wake of COVID-19 and Russia-Ukraine Invasion |
Dr. Miklesh Prasad Yadav, Mohammad Zoynul Abedin, Dr. Neena Sinha, Vandana Arya |
23 |
[GO] |
2023―Okt―17 |
Extreme state media reporting and the extreme stock market during COVID-19: A multi-quantile VaR Granger causality approach in China |
Yun Hong, Yanhui Jiang, Xiaojian Su, Chao Deng |
24 |
[GO] |
2023―Sep―11 |
Investing in cryptocurrency before and during the COVID-19 crisis: Hedge, diversifier or safe haven? |
Rabeb Riahi, Amel Bennajma, Abderrahmane Jahmane, Helmi Hammami |
25 |
[GO] |
2023―Sep―04 |
Related Party Lending and Rural Bank Risk: Evidence during the Covid-19 period |
Bowo Setiyono, U’um Munawaroh |
26 |
[GO] |
2023―Jul―31 |
Gold prices, cultural factors, and Covid-19 pandemic: An international analysis |
Hamid Beladi, Cong Tam Trinh, Chi-Chur Chao |
27 |
[GO] |
2023―Jun―21 |
Volatility spillovers between sovereign CDS and futures markets in various volatility states: Evidence from an emerging economy around the pandemic |
Remzi Gök, Elie Bouri, Eray Gemici |
28 |
[GO] |
2023―Jun―03 |
Covid-19 and Investment-Cash Flow Sensitivity: A Cross-country Analysis |
An Thai, Thi Thuy Anh Vo, Mieszko Mazur |
29 |
[GO] |
2023―Mai―19 |
Policy uncertainty and bank’s funding costs: The effects of the financial crisis, Covid-19 pandemic, and market discipline |
Dung Viet Tran, Cuong Nguyen |
30 |
[GO] |
2023―Mai―09 |
Growth vs value investing: Persistence and time trend before and after COVID-19 |
Manuel Monge, Ana Lazcano, José Luís Parada |
31 |
[GO] |
2023―Mrz―30 |
COVID-19, a blessing in disguise for the Tech sector: Evidence from stock price crash risk |
Ashrafee T. HOSSAIN, Abdullah-Al MASUM, XU Jian |
32 |
[GO] |
2023―Mrz―22 |
Direct and Spillover Portfolio Effects of COVID-19 |
Haoyuan Ding, Bo Pu, Jiezhou Ying |
33 |
[GO] |
2023―Mrz―17 |
Quantile dependencies and connectedness between the gold and cryptocurrency markets: Effects of the COVID-19 crisis |
Walid Mensi, Rim El Khoury, Syed Riaz Mahmood Ali, Xuan Vinh Vo, Sang Hoon Kang |
34 |
[GO] |
2023―Feb―16 |
Forecasting for regulatory credit loss derived from the COVID-19 pandemic: A machine learning approach |
Marta Ramos González, Antonio Partal Ureña, Pilar Gómez Fernández-Aguado |
35 |
[GO] |
2023―Feb―10 |
An Asymmetrical Approach to Understanding Consumer Characteristics in Banking Trust During the COVID-19 Pandemic in Italy |
Aymen Ammari, Evita Allodi, Dario Salerno, Gian Paolo Stella |
36 |
[GO] |
2023―Jan―17 |
COVID-19 and stock returns: Evidence from the Markov switching dependence approach |
Ahmed Bouteska, Taimur Sharif, Mohammad Zoynul Abedin |
37 |
[GO] |
2023―Jan―17 |
Machine learning sentiment analysis, COVID-19 news and stock market reactions |
Michele Costola, Oliver Hinz, Michael Nofer, Loriana Pelizzon |
38 |
[GO] |
2023―Jan―10 |
What Can We Learn About The Market Reaction To Macroeconomic Surprise? Evidence From The COVID-19 Crisis |
Houssam Bouzgarrou, Zied Ftiti, Waël Louhichi, Mohamed Yousfi |
39 |
[GO] |
2022―Dez―20 |
Effect of Twitter Investor Engagement on Cryptocurrencies during the COVID-19 Pandemic |
Ahmed Bouteska, Petr Hajek, Mohammad Zoynul Abedin, Yizhe Dong |
40 |
[GO] |
2022―Dez―02 |
Does economic policy uncertainty drive the dynamic spillover among traditional currencies and cryptocurrencies? The role of the COVID-19 pandemic |
Mohammad Al-Shboul, Ata Assaf, Khaled Mokni |
41 |
[GO] |
2022―Nov―28 |
Long Memory in the High Frequency Cryptocurrency Markets using Fractal Connectivity Analysis: The Impact of COVID-19 |
Ata Assaf, Khaled Mokni, Imran Yousef, Avishek Bhandari |
42 |
[GO] |
2022―Nov―03 |
Cryptocurrency market connectedness in Covid-19 days and the role of Twitter: Evidence from a Smooth Transition Regression model |
Nikolaos Giannellis |
43 |
[GO] |
2022―Okt―07 |
International Taxation Sentiment and COVID-19 Crisis |
Chenjiang Bai, Yuejiao Duan, Congya Liu, Leiju Qiu |
44 |
[GO] |
2022―Sep―30 |
How does the COVID-19 affect earnings management: empirical evidence from China |
Huanmin Yan, Zhenyu Liu, Haoyu Wang, Xuehua Zhang, Xilei Zheng |
45 |
[GO] |
2022―Aug―18 |
Pandemic Effect on Corporate Financial Asset Holdings: Precautionary or Return-chasing? |
Haoyu Gao, Huiyu Wen, Xingjian Wang |
46 |
[GO] |
2022―Jul―08 |
Tail-risk spillovers from China to G7 stock market returns during the COVID-19 outbreak: A market and sectoral analysis |
Riadh Aloui, Sami ben Jabeur, Salma Mefteh-Wali |
47 |
[GO] |
2022―Mai―05 |
Dynamics of the sheltering role of Bitcoin against crude oil market crash with varying severity of the COVID-19: A comparison with gold |
Xiaohang Ren, Rui Wang, Kun Duan, Jinyu Chen |
48 |
[GO] |
2022―Apr―28 |
Dynamics lead-lag relationship of jumps among Chinese stock index and futures market during the Covid-19 epidemic |
Wenwen Liu, Yiming Gui, Gaoxiu Qiao |
49 |
[GO] |
2022―Apr―28 |
Using Machine Learning to Analyze the Impact of Coronavirus Pandemic News on the Stock Markets in GCC Countries |
Alanoud Al-Maadid, Saleh Alhazbi, Khaled Al-Thelaya |
50 |
[GO] |
2022―Apr―22 |
The global economic policy uncertainty spillover analysis: In the background of COVID-19 pandemic |
Yuqin Zhou, Zhenhua Liu, Shan Wu |
51 |
[GO] |
2022―Apr―14 |
The effects of daily growth in COVID-19 deaths, cases, and governments’ response policies on stock markets of emerging economies |
Murat Guven, Basak Cetinguc, Bulent Guloglu, Fethi Calisir |
52 |
[GO] |
2022―Feb―08 |
The performance of Islamic versus conventional stocks during the COVID-19 shock: evidence from firm-level data |
Falik shear, Badar Nadeem Ashraf |
53 |
[GO] |
2022―Jan―11 |
How to calm down the markets? The effects of COVID-19 economic policy responses on financial market uncertainty |
Oleg Deev, Tomáš Plíhal |
54 |
[GO] |
2021―Dez―30 |
Weathering the COVID-19 Storm: The Case of Community Banks |
M. Kabir Hassan, M. Sydul Karim, Shari Lawrence, Tastaftiyan Risfandy |
55 |
[GO] |
2021―Dez―24 |
The market reaction to syndicated loan announcements before and during the COVID-19 pandemic and the role of corporate governance |
Ioannis Tampakoudis, Athanasios Noulas, Nikolaos Kiosses |
56 |
[GO] |
2021―Nov―25 |
COVID-19 pandemic and economic policy uncertainty: The first test on the hedging and safe haven properties of cryptocurrencies |
Khaled Mokni, Manel Youssef, Ahdi Noomen Ajmi |
57 |
[GO] |
2021―Nov―23 |
Combating the COVID-19 pandemic: The role of disaster experience |
Jie Li, Yahui An, Lidan Wang, Yongjie Zhang |
58 |
[GO] |
2021―Okt―29 |
Firm-Level Trade Credit responses to COVID-19-induced Monetary and Fiscal Policies: International Evidence |
Ahmed Al-Hadi, Almukhtar Al-Abri |
59 |
[GO] |
2021―Sep―21 |
Financing constraints and firm-level responses to the COVID-19 pandemic: International evidence |
Safi Ullah Khan |
60 |
[GO] |
2021―Sep―09 |
Does the Covid-19 Pandemic Affect Faith-based Investments? Evidence from Global Sectoral Indices |
Munusamy Dharani, M. Kabir Hassan, Mustafa Raza Rabbani, Tahsin Huq |
61 |
[GO] |
2021―Sep―03 |
The COVID-19 black swan crisis: Reaction and recovery of various financial markets |
Larisa Yarovaya, Roman Matkovsky, Akanksha Jalan |
62 |
[GO] |
2021―Aug―26 |
Impact of the COVID-19 event on U.S. banks’ financial soundness |
Kwamie Dunbar |
63 |
[GO] |
2021―Aug―26 |
The COVID-19 pandemic, volatility, and trading behavior in the bitcoin futures market |
Beum-Jo Park |
64 |
[GO] |
2021―Aug―24 |
Stock market volatility and the COVID-19 reproductive number |
Fernando Díaz, Pablo A. Henríquez, Diego Winkelried |
65 |
[GO] |
2021―Aug―13 |
The influence of the COVID-19 pandemic on the hedging functionality of Chinese financial markets |
Shaen Corbet, Yang (Greg) Hou, Yang Hu, Les Oxley |
66 |
[GO] |
2021―Aug―11 |
Environmental stocks, CEO health risk and COVID-19 |
Carlos Fernández-Méndez, Shams Pathan |
67 |
[GO] |
2021―Aug―10 |
Banking Sector Reactions to COVID-19: The Role of Bank-Specific Factors and Government Policy Responses |
Ender Demir, Gamze Ozturk Danisman |
68 |
[GO] |
2021―Jul―31 |
Downside risk in Dow Jones Islamic equity indices: Precious metals and portfolio diversification before and after the COVID-19 bear market |
Fahad Ali, Yuexiang Jiang, Ahmet Sensoy |
69 |
[GO] |
2021―Jul―24 |
Chinese jigsaw: Solving the equity market response to the COVID-19 crisis: Do alternative asset provide effective hedging performance? |
Salma Tarchella, Abderrazak Dhaoui |
70 |
[GO] |
2021―Jul―09 |
COVID-19, government interventions and emerging capital markets performance |
David Y. Aharon, Smadar Siev |
71 |
[GO] |
2021―Jul―08 |
Impact of the Covid-19 induced panic on the Environmental, Social and Governance leaders equity volatility: A time-frequency analysis |
Zaghum Umar, Mariya Gubareva, Dang Khoa Tran |
72 |
[GO] |
2021―Jul―07 |
Risk contagion of COVID-19 in Japanese firms: A network approach |
Masayasu Kanno |
73 |
[GO] |
2021―Jul―03 |
Product line transformation, foreign sales, and firm value: Evidence from COVID-19 pandemic in urban China |
Liangliang Wang, Junli Yu, Kam C. Chan |
74 |
[GO] |
2021―Jul―02 |
Assessing the impact of COVID-19 on major industries in Japan: A dynamic conditional correlation approach |
Masayasu Kanno |
75 |
[GO] |
2021―Jul―01 |
The historic oil price fluctuation during the Covid-19 pandemic: What are the causes? |
Thai-Ha Le, Anh Tu Le, Ha-Chi Le |
76 |
[GO] |
2021―Jun―26 |
Capture the Contagion Network of Bitcoin - Evidence from Pre and Mid COVID-19 |
Xiaochun Guo, Fengbin Lu, Yunjie Wei |
77 |
[GO] |
2021―Jun―23 |
Asymmetric effect of COVID-19 pandemic on E7 stock indices: Evidence from quantile-on-quantile regression approach |
Shabir Mohsin Hashmi, Bisharat Hussain Chang, Li Rong |
78 |
[GO] |
2021―Jun―10 |
The stabilizing effect of social distancing: Cross-country differences in financial market response to COVID-19 pandemic policies |
Steve J. Bickley, Martin Brumpton, Ho Fai Chan, Richard Colthurst, Benno Torgler |
79 |
[GO] |
2021―Jun―05 |
Bitcoin’s Price Efficiency and Safe Haven Properties during the COVID-19 Pandemic: A Comparison |
Natalia Diniz-Maganini, Eduardo H. Diniz, Abdul A. Rasheed |
80 |
[GO] |
2021―Jun―02 |
Negative oil price shocks transmission: the comparative effects of the GFC, shale oil boom, and Covid-19 downturn on French gasoline prices |
Raphael Homayoun Boroumand, Thomas Porcher, Christian Urom |
81 |
[GO] |
2021―Jun―02 |
COVID-19 Sentiment and the Chinese Stock Market: Evidence from the Official News Media and Sina Weibo |
Yuejiao Duan, Lanbiao Liu, Zhuo Wang |
82 |
[GO] |
2021―Jun―01 |
In search of safe haven assets during COVID-19 pandemic: An empirical analysis of different investor types |
Mustafa Disli, Ruslan Nagayev, Kinan Salim, Siti K. Rizkiah, Ahmet F. Aysan |
83 |
[GO] |
2021―Mai―29 |
Let's Lessen Conditionality in Times of Force Majeure Events. The Archaic Righteousness of the Policy of Conditionality of International Institutions Amid COVID-19 |
Qerim Qerimi, Bruno S. Sergi |
84 |
[GO] |
2021―Mai―29 |
Impact of COVID-19 on Stock Market Efficiency: Evidence from Developed Countries |
Oktay Ozkan |
85 |
[GO] |
2021―Mai―29 |
The Financial Impact of COVID-19: Evidence from an Event Study of Global Hospitality Firms |
John Clark, Nathan Mauck, Stephen W. Pruitt |
86 |
[GO] |
2021―Mai―29 |
Asset pricing during pandemic lockdown |
Yuta Saito, Jun Sakamoto |
87 |
[GO] |
2021―Mai―29 |
Vulnerability of financial markets in India: The contagious effect of COVID-19 |
Purnima Rao, Nisha Goyal, Satish Kumar, M. Kabir Hassan, Shahida Shahimi |
88 |
[GO] |
2021―Mai―28 |
Did COVID-19 change spillover patterns between Fintech and other asset classes? |
Lan Thi Ngoc Le, Larisa Yarovaya, Muhammad Ali Nasir |
89 |
[GO] |
2021―Mai―05 |
Gold and US sectoral stocks during COVID-19 pandemic |
Afees A. Salisu, Xuan Vinh Vo, Brian Lucey |
90 |
[GO] |
2021―Apr―09 |
The impact of COVID-19 on the stock market crash risk in China |
Zhifeng Liu, Toan Luu Duc Huynh, Peng-Fei Dai |
91 |
[GO] |
2021―Mrz―05 |
Volatility spillover between economic sectors in financial crisis prediction: Evidence spanning the great financial crisis and Covid-19 pandemic |
Ricardo Laborda, Jose Olmo |
92 |
[GO] |
2021―Feb―10 |
COVID-19, stock market and sectoral contagion in US: a time-frequency analysis |
Paulo Matos, Antonio Costa, Cristiano da Silva |
93 |
[GO] |
2021―Feb―05 |
Innovation as Recovery Strategy for SMEs in Emerging Economies during the COVID-19 Pandemic |
Santiago-Omar Caballero-Morales |
94 |
[GO] |
2021―Jan―22 |
Financial performances, entrepreneurial factors and coping strategy to survive in the COVID-19 pandemic: Case of Vietnam |
Huan Huu Nguyen, Vu Minh Ngo, Anh Tram Nguyen Trans |
95 |
[GO] |
2020―Dez―31 |
Comparing COVID-19 with the GFC: A shockwave analysis of currency markets |
Samet Gunay |
96 |
[GO] |
2020―Dez―04 |
COVID-19, Government Policy Responses, and Stock Market Liquidity around the World: A Note |
Adam Zaremba, David Y. Aharon, Ender Demir, Renatas Kizys, Dariusz Zawadka |
97 |
[GO] |
2020―Nov―27 |
The impact of COVID-19 on the connectedness in energy commodities: A pandora's box or sudden event? |
Boqiang Lin, Tong Su |
98 |
[GO] |
2020―Nov―21 |
COVID-19 SOCIAL DISTANCING AND THE US SERVICE SECTOR: WHAT DO WE LEARN? |
Samet Gunay, Bekir Emre Kurtulmuş |
99 |
[GO] |
2020―Nov―21 |
Coronavirus Disease Outbreak and Supply Chain Disruption: Evidence from Taiwanese Firms in China |
Chia-Hsien Tang, Chih-Yu Chin, Yen-Hsien Lee |
100 |
[GO] |
2020―Nov―12 |
World Equity Markets and COVID-19: Immediate Response and Recovery Prospects |
Ünal Seven, Fatih Yilmaz |
101 |
[GO] |
2020―Sep―28 |
The recovery of global stock markets indices after impacts due to pandemics |
S.A. David, C.M.C. Inácio Jr., José A. Tenreiro Machado |
102 |
[GO] |
2020―Aug―18 |
Corporate Social Responsibility Amid Social Distancing During the COVID-19 Crisis: BRICS vs. OECD Countries |
Elena Popkova, Piper DeLo, Bruno S. Sergi |
103 |
[GO] |
2020―Aug―11 |
COVID-19, Bar Crowding, and the Wisconsin Supreme Court: A Non-Linear Tale of Two Counties |
Jeffrey E. Harris |
104 |
[GO] |
2020―Jun―23 |
The role of economic structural factors in determining pandemic mortality rates: Evidence from the COVID-19 outbreak in France |
Stéphane Goutte, Thomas Péran, Thomas Porcher |
105 |
[GO] |
2020―Jun―04 |
Are Cryptocurrencies a Safe Haven for Equity Markets? An International Perspective from the COVID-19 Pandemic |
Thomas Conlon, Shaen Corbet, Richard J. McGee |
106 |
[GO] |
2020―Mai―23 |
Stock markets’ reaction to COVID-19: cases or fatalities? |
Badar Nadeem Ashraf |