Financial markets under the global pandemic of COVID-19.
Financ Res Lett
; 36: 101528, 2020 Oct.
Article
in English
| MEDLINE | ID: covidwho-728553
ABSTRACT
The rapid spread of coronavirus (COVID-19) has dramatic impacts on financial markets all over the world. It has created an unprecedented level of risk, causing investors to suffer significant loses in a very short period of time. This paper aims to map the general patterns of country-specific risks and systemic risks in the global financial markets. It also analyses the potential consequence of policy interventions, such as the US' decision to implement a zero-percent interest rate and unlimited quantitative easing (QE), and to what extent these policies may introduce further uncertainties into global financial markets.
Full text:
Available
Collection:
International databases
Database:
MEDLINE
Type of study:
Prognostic study
Language:
English
Journal:
Financ Res Lett
Year:
2020
Document Type:
Article
Affiliation country:
J.frl.2020.101528
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