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original article |
Date |
Title |
Authors All Authors |
1 |
[GO] |
2024―Nov―26 |
Multi-media sentiment to systemic risk: Evidence from COVID-19 |
Chenjiang Bai, Yuejiao Duan, John W. Goodell |
2 |
[GO] |
2024―Nov―20 |
Volatility connectedness between geopolitical risk and financial markets: Insights from pandemic and military crisis periods |
Ameet Kumar Banerjee, Ahmet Sensoy, John W. Goodell |
3 |
[GO] |
2024―Sep―27 |
COVID-19 exposure, financial flexibility, and corporate leverage adjustment |
Obaid Ur Rehman, Kai Wu, Jia Liu |
4 |
[GO] |
2024―Sep―05 |
Salience and Food Waste Reduction: Evidence from the COVID-19 Pandemic |
Yuan Gao, Rigoberto A. Lopez, Ruili Liao, Xiaoou Liu |
5 |
[GO] |
2024―Aug―05 |
COVID-19 and US females’ portfolio decisions |
Nicholas Apergis |
6 |
[GO] |
2024―Jul―31 |
Risk connectedness between international oil and stock markets during the COVID-19 pandemic and the Russia-Ukraine conflict: Fresh evidence from the higher-order moments |
Jinxin Cui, Aktham Maghyereh, Dijia Liao |
7 |
[GO] |
2024―Jul―14 |
An industry-level analysis of a pandemic’s impact on stock market risk |
Stanley Peterburgsky |
8 |
[GO] |
2024―May―09 |
Corporate loan duration, macroeconomic environments, and COVID-19 |
Dongwoo Kim |
9 |
[GO] |
2024―Apr―04 |
Gold in household portfolios during a pandemic: Evidence from India |
Oindrila Chatterjee, Balagopal Gopalakrishnan, Sanket Mohapatra |
10 |
[GO] |
2024―Apr―01 |
Assessment of the effectiveness of the macroprudential measures implemented in the context of the Covid-19 pandemic |
Lucas Avezum, Vítor Oliveira, Diogo Serra |
11 |
[GO] |
2024―Mar―23 |
Pandemics and FDI inflows: The role of infrastructures |
Kai Zhao, Minjie Mo, Jun Shen |
12 |
[GO] |
2024―Mar―19 |
COVID-19 uncertainty index in Japan: Newspaper-based measures and economic activities |
Hiroshi Morita, Taiki Ono |
13 |
[GO] |
2024―Feb―27 |
Spillovers and hedging effectiveness between islamic cryptocurrency and metal markets: Evidence from the COVID-19 outbreak |
Imran Yousaf, Shoaib Ali, Mohamed Marei, Mariya Gubareva |
14 |
[GO] |
2024―Feb―23 |
Bond market spillover networks of ASEAN-4 markets: Is the global pandemic different? |
Gazi Salah Uddin, Muhammad Yahya, Donghyun Park, Axel Hedström, Shu Tian |
15 |
[GO] |
2024―Feb―15 |
A sustainable pandemic response: The impact of COVID-19 vaccination coverage on economic policy uncertainty |
Shi Li, Meng Li, Rongsha Fu |
16 |
[GO] |
2024―Feb―09 |
Are stablecoins better safe havens or hedges against global stock markets than other assets? Comparative analysis during the COVID-19 pandemic |
Jingyu Feng, Ying Yuan, Mingxuan Jiang |
17 |
[GO] |
2024―Jan―21 |
Together in bad times? The effect of COVID-19 on inflation spillovers in China |
Yingying Xu, Donald Lien |
18 |
[GO] |
2024―Jan―18 |
Modelling financial stress during the COVID-19 pandemic: Prediction and deeper insights |
Indranil Ghosh, Rabin K. Jana, Roubaud David, Oksana Grebinevych, Peter Wanke, Yong Tan |
19 |
[GO] |
2023―Oct―15 |
Covid-19 and market discipline: Evidence from the banking sector in emerging markets |
Xin Xie, Nawazish Mirza, Muhammad Umar, Xiaoman Ji |
20 |
[GO] |
2023―Oct―03 |
Corporate social responsibility and stock resilience to COVID-19: A contract theory perspective |
Jun Lu, Wengui Li, Wei Huang |
21 |
[GO] |
2023―Aug―21 |
Asset pricing tests for pandemic risk |
Dojoon Park, Yong Joo Kang, Young Ho Eom |
22 |
[GO] |
2023―Aug―05 |
Nexus of government responses towards COVID-19 pandemic and economic performance |
Hammed Adetola Adefeso, Mujeeb Opeyemi Muraina |
23 |
[GO] |
2023―Jul―28 |
Dose managerial bank relationship network matter corporate resilience? Evidence from the COVID-19 crisis |
Ruiyang Niu, Liang Jin, Lin Chen, Guanghua Xie, Longfeng Zhao |
24 |
[GO] |
2023―Jul―28 |
Does COVID-19 impact the dependence between oil and stock markets? Evidence from RCEP countries |
Dongxin Li, Feipeng Zhang, Di Yuan, Yuan Cai |
25 |
[GO] |
2023―Jul―14 |
Build resilience to overcome panic? Examining the global capital market during the COVID-19 pandemic |
Ming Liu, Qizhi Tao, Xiangjin Wang, Hongyong Zhou |
26 |
[GO] |
2023―Jul―11 |
Cryptocurrencies are not immune to coronavirus: Evidence from investor fear |
Lai T. Hoang, Dirk G. Baur |
27 |
[GO] |
2023―Jun―29 |
Interconnectivity and investment strategies among commodity prices, cryptocurrencies, and G-20 capital markets: A comparative analysis during COVID-19 and Russian-Ukraine war |
Sanjeev Kumar, Reetika Jain, Faruk Balli, Mabruk Billah |
28 |
[GO] |
2023―Jun―24 |
What can we learn from the convenience yield of Bitcoin? Evidence from the COVID-19 crisis |
Gideon Bruce Arkorful, Haiqiang Chen, Ming Gu, Xiaoqun Liu |
29 |
[GO] |
2023―Jun―10 |
Hedging Covid-19 risk with ESG disclosure |
Yuqian Jin, Kaixin Zheng, Qingfu Liu, Yiuman Tse |
30 |
[GO] |
2023―May―22 |
Exploring the sentimental features of rumor messages and investors' intention to invest during a pandemic |
Ahmed Ibrahim Alzahrani, Samer Muthana Sarsam, Hosam Al-Samarraie, Fahad Alblehai |
31 |
[GO] |
2023―Apr―02 |
Foreign exchange market efficiency during COVID-19 pandemic |
Islam Azzam, Ahmed A. El-Masry, Ehab Yamani |
32 |
[GO] |
2023―Apr―01 |
Effectiveness of COVID-19 state aid for microenterprises in Poland |
Katarzyna Kochaniak, Paweł Ulman, Robert Zajkowski |
33 |
[GO] |
2023―Mar―09 |
COVID-19 pandemic and the dynamics of major investable assets: What gives shelter to investors? |
Abu Hanifa Md Noman, Muhammd Mahmudul Karim, Mohammad Kabir Hassan, Muhammad Asif Khan, Sajeda Pervin |
34 |
[GO] |
2023―Feb―22 |
Identifying diversifiers, hedges, and safe havens among Asia Pacific equity markets during COVID-19: New results for ongoing portfolio allocation |
Fahad Ali, Ahmet Sensoy, John W. Goodell |
35 |
[GO] |
2023―Feb―11 |
The impacts of oil price volatility on financial stress: Is the COVID-19 period different? |
Xin Sheng, Won Joong Kim, Rangan Gupta, Qiang Ji |
36 |
[GO] |
2023―Feb―02 |
Challenges for volatility forecasts of US fossil energy spot markets during the COVID-19 crisis |
Zepei Li, Haizhen Huang |
37 |
[GO] |
2022―Nov―23 |
Spillover effect of the RMB and Non-USD currencies after the COVID-19 pandemic: Evidence captured from 30-minute high frequency data |
Chang Rong Lu, Fandi Yu, Jia Xiang Li, Lian Liu |
38 |
[GO] |
2022―Nov―14 |
Cryptocurrency spectrum and 2020 pandemic: Contagion analysis |
David Iheke Okorie, Boqiang Lin |
39 |
[GO] |
2022―Nov―04 |
Risk spillovers in global financial markets: Evidence from the COVID-19 crisis |
Yi Fang, Zhiquan Shao, Yang Zhao |
40 |
[GO] |
2022―Oct―25 |
COVID-19 and stock market performance: Evidence from the RCEP countries |
Wenwen Zhang, Shuo Cao, Xuan Zhang, Xuefeng Qu |
41 |
[GO] |
2022―Aug―22 |
Dynamic connectedness among the implied volatilities of oil prices and financial assets: New evidence of the COVID-19 pandemic |
Nikolaos Antonakakis, Juncal Cunado, George Filis, David Gabauer, Fernando Perez de Gracia |
42 |
[GO] |
2022―Jun―03 |
The Brazilian financial market reaction to COVID-19: A wavelet analysis |
Antonio Costa, Cristiano da Silva, Paulo Matos |
43 |
[GO] |
2022―Mar―18 |
Corporate investment and government policy during the COVID-19 crisis |
Khanh Hoang, Muhammad Arif, Cuong Nguyen |
44 |
[GO] |
2022―Mar―16 |
Impact of Covid-19 containment measures on trade |
Juan de Lucio, Raúl Mínguez, Asier Minondo, Francisco Requena |
45 |
[GO] |
2022―Mar―02 |
Islamic Stock indices and COVID-19 pandemic |
Afees A. Salisu, Muneer Shaik |
46 |
[GO] |
2022―Feb―22 |
Does flattening the curve make a difference? An investigation of the COVID-19 pandemic based on an SIR model |
Hong Qiu, Qian Wang, Qun Wu, Hongyong Zhou |
47 |
[GO] |
2022―Feb―15 |
Stock market contagion during the COVID-19 pandemic in emerging economies |
Gazi Salah Uddin, Muhammad Yahya, Gour Gobinda Goswami, Brian Lucey, Ali Ahmed |
48 |
[GO] |
2022―Jan―17 |
Volatility spillovers between fine wine and major global markets during COVID-19: A portfolio hedging strategy for investors |
Aristeidis Samitas, Spyros Papathanasiou, Drosos Koutsokostas, Elias Kampouris |
49 |
[GO] |
2021―Dec―29 |
What threatens stock markets more - The coronavirus or the hype around it? |
A. Nepp, O. Okhrin, J. Egorova, Z. Dzhuraeva, A. Zykov |
50 |
[GO] |
2021―Dec―20 |
ESG scores and the response of the S&P 1500 to monetary and fiscal policy during the Covid-19 pandemic |
Richard Paul Gregory |
51 |
[GO] |
2021―Dec―15 |
Information spillover effects from media coverage to the crude oil, gold, and Bitcoin markets during the COVID-19 pandemic: Evidence from the time and frequency domains |
Hongwei Zhang, Huojun Hong, Yaoqi Guo, Cai Yang |
52 |
[GO] |
2021―Oct―05 |
The resilience of Islamic equity funds during COVID-19: Evidence from risk adjusted performance, investment styles and volatility timing |
Nawazish Mirz, Syed Kumail Abbas Rizvi, Irum Saba, Bushra Naqvi, Larisa Yarovaya |
53 |
[GO] |
2021―Sep―24 |
Canadian stock market volatility under COVID-19 |
Dinghai Xu |
54 |
[GO] |
2021―Apr―23 |
Black swan events and COVID-19 outbreak: Sector level evidence from the US, UK, and European stock markets |
Wasim Ahmad, Ali M. Kutan, Smarth Gupta |
55 |
[GO] |
2021―Mar―25 |
COVID-19 pandemic and firm performance: Cross-country evidence |
Shiwei Hu, Yuyao Zhang |
56 |
[GO] |
2021―Feb―10 |
Information dissemination across global markets during the spread of COVID-19 pandemic |
Abhinava Tripathi, Ashish Pandey |
57 |
[GO] |
2020―Dec―30 |
Pandemic uncertainties and fiscal procyclicality: A dynamic non-linear approach |
Himadri Shekhar Chakrabarty, Rudra Prosad Roy |
58 |
[GO] |
2020―Dec―27 |
Crisis response of nursing homes during COVID-19: Evidence from China |
Junzhuo Xu, Yu Liang |
59 |
[GO] |
2020―Dec―16 |
Macroeconomic policies and the pandemic-driven recession |
Celso J. Costa Junior, Alejandro C. Garcia-Cintado, Karlo Marques Junior |
60 |
[GO] |
2020―Sep―28 |
The impact of COVID-19 on the efficiency of microfinance institutions |
Chen Zheng, Junru Zhang |
61 |
[GO] |
2020―Sep―28 |
Event study on the reaction of the developed and emerging stock markets to the 2019-nCoV outbreak |
Dharen Kumar Pandey, Vineeta Kumari |
62 |
[GO] |
2020―Sep―25 |
Human Capital efficiency and equity funds’ performance during the COVID-19 pandemic |
Larisa Yarovaya, Nawazish Mirza, Jamila Abaidi, Amir Hasnaoui |
63 |
[GO] |
2020―Sep―02 |
Pandemic-related financial market volatility spillovers: Evidence from the Chinese COVID-19 epicentre |
Shaen Corbet, Yang (Greg) Hou, Yang Hu, Les Oxley, Danyang Xu |
64 |
[GO] |
2020―Jun―27 |
Revisiting oil-stock nexus during COVID-19 pandemic: Some preliminary results |
Afees A. Salisu, Godday U. Ebuh, Nurn Usman |