Stock market responses to Covid-19 pandemic and monetary policy in indonesia: pre and post vaccine

AA Tanjung, D Ruslan, I Lubis, I Pratama - Cuadernos de Economía, 2022 - cude.es
This study seeks to determine how the Indonesian stock market reacts to COVID-19,
monetary policy, and other macroeconomic variables. The data used is, therefore, from …

Analyzing the nexus of COVID-19 and natural resources and commodities: Evidence from time-varying causality

E Dogan, MT Majeed, T Luni - Resources Policy, 2022 - Elsevier
Even though a few studies have focused on natural resources and commodity sectors by
considering the pandemic, they have only compared their status in pre-COVID19 to post …

Analyzing the market performance of Romanian firms: do the COVID-19 crisis and classification type matter?

AC Nuta, AM Habib, S Neslihanoglu… - International Journal of …, 2024 - emerald.com
Purpose Stock market performance is paramount to every country, as it signifies economic
growth, business performance, wealth maximization, savings deployment and consumer …

The Impact of Electronic Data Interchange on Accounting Systems

R Oleiwi - International Journal of Professional Business Review …, 2023 - agora.edu.es
Purpose: Electronic Data Interchange has positively impacted the accounting system
considering several steps achieved due to the ability to execute several business-related …

Stock market optimization amidst the COVID-19 pandemic: Technical analysis, K-means algorithm, and mean-variance model (TAKMV) approach

MM Navarro, MN Young, YT Prasetyo, JV Taylar - Heliyon, 2023 - cell.com
The Philippine stock market, just like most of its neighbors in the region, was seriously
impacted by the global pandemic COVID-19. Investors remain hopeful while continuing to …

Corporate disclosures in pandemic times. The annual and interim reports case

I Bostan, OC Bunget, AC Dumitrescu… - … Markets Finance and …, 2022 - Taylor & Francis
The paper examines if COVID-19 crisis has brought changes in companies' approach on
corporate reporting, with focus on annual reports. The research method is based on text …

[PDF][PDF] Oil exports, political issues, and stock market nexus

ZA Asaad, AS Al-Delawi, OR Fatah… - International Journal of …, 2023 - zbw.eu
This study investigates the influence of oil export and political issues on Iraq's stock
exchange using various Ordinary Least Square regression models. The empirical results …

Systemic risk spillover between the stock market and banking deposits: Evidence from a sustainability perspective in the South Asian countries

L Liu, A Rafique, N Abbas, M Umer Quddoos… - Plos One, 2024 - journals.plos.org
This research explores the link between stock markets and banking deposits in South Asian
(Pakistan, India, Sri Lanka, Nepal) countries. This study empirically examines the systemic …

Analyzing the varied impact of COVID-19 on stock markets: A comparative study of low-and high-infection-rate countries

S Teitler Regev, T Tavor - Plos one, 2024 - journals.plos.org
The global health crisis initiated by the COVID-19 pandemic triggered unparalleled
economic upheavals. In this comprehensive study of 16 countries categorized by their …

The interdependence of gold, US dollar and stock market in the context of COVID-19 pandemic: An insight into analysis in Asia and Europe

O Tran, H Nguyen - Cogent Economics & Finance, 2022 - Taylor & Francis
Using the panel data vector autoregression (PVAR) model, this study examines the
correlation between the stock market, gold price and USD exchange rate in the context of …