Stock market volatility and Russia-Ukraine conflict

被引:29
|
作者
Wu, Feng-lin [1 ]
Zhan, Xu-dong [1 ]
Zhou, Jia-qi [2 ]
Wang, Ming-hui [2 ,3 ]
机构
[1] Southwestern Univ Finance & Econ, SWUFE UD Inst Data Sci, Chengdu, Sichuan, Peoples R China
[2] Southwestern Univ Finance & Econ, Sch Math, Chengdu, Sichuan, Peoples R China
[3] Southwestern Univ Finance & Econ, Sch Math, 555 Liutai Ave, Chengdu, Peoples R China
关键词
Russia-Ukraine conflict; Stock volatility; War puzzle; Risk transmission network; CONNECTEDNESS;
D O I
10.1016/j.frl.2023.103919
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
In this paper, we use a two-phase model to study the impact of the Russia-Ukraine conflict on stock volatility. Our results show that the conflict reduces stock volatility initially, but increases it after Russia invaded Ukraine. Then, we construct risk transmission networks of different periods to explore the changes of transmission roles. Finally, we combine the results of historical outcomes mapping and frequency decomposition analysis to investigate the impact mechanisms between the Russia-Ukraine conflict and stock volatility. We also propose a possible interpretation for the War Puzzle, namely the sustained stability of the long-term connectedness component during war shocks.
引用
收藏
页数:14
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