Emerging and advanced economies markets behaviour during the COVID-19 crisis era

被引:31
|
作者
Belaid, Fateh [1 ]
Ben Amar, Amine [2 ]
Goutte, Stephane [3 ]
Guesmi, Khaled [4 ]
机构
[1] Lille Catholic Univ, Fac Management Econ & Sci, LEM Lille Econ Management, UMR 9221, F-59000 Lille, France
[2] Int Univ Rabat, RBS Coll Management, BEAR Lab, Rabat, Morocco
[3] Univ Paris Saclay, CEMOTEV, Paris Sch Business PSB, Paris, France
[4] Paris Sch Business, Ctr Res Energy & Climate Change CRECC, Paris, France
关键词
contagion effect; COVID-19; developed economies; emerging economies; equity markets; IMPULSE-RESPONSE ANALYSIS; VOLATILITY SPILLOVERS; TIME-SERIES; OIL MARKET; UNIT-ROOT; CRUDE-OIL; COMMODITY; CONTAGION; RISK;
D O I
10.1002/ijfe.2494
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
This article examines the consequences of the COVID-19 crisis on the interdependencies between emerging and advanced economies. Using daily market index data from 22 developed and emerging markets, we develop a combination of statistical methods based on Diebold and Yilmaz spillover index and Toda-Yamamoto and Dolado and Lutkepohl causality approach. The results substantiate an increase in the interdependence between emerging and advances economies, which suggests an increase in the transmission of the stress and uncertainty between financial markets during the pandemic period. Our findings show that the emerging countries are affected by the financial markets of advanced economies during the COVID-19 crisis and, in particular, by European markets, which appear to be the primary driver of contagion and transmission of stress and uncertainty to all other regional markets.
引用
收藏
页码:1563 / 1581
页数:19
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