A COMPREHENSIVE REVIEW ON LINKAGES BETWEEN GOLD MARKET PARAMETERS AND STOCK INDICES AFTER LIBERALIZATION

Ashutosh Chaubey, Jaydeep Ramanuj
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Abstract

Gold, a precious metal with a rich historical legacy, possesses unique characteristics that have conferred enduring value upon it. This paper explores various facets of gold, from its distinctive properties to its applications, mining processes, and its role in the global gold market. It delves into factors influencing gold prices, risks associated with gold investments, and diverse investment approaches. Furthermore, this research paper explores the interplay between gold markets and stock indices following financial liberalization. A comprehensive literature review is conducted, summarizing and synthesizing empirical studies examining the relationship between gold and stock markets. The findings reveal a nuanced and context-dependent relationship, influenced by factors such as economic conditions, geopolitical events, and market dynamics. Additionally, the impact of financial liberalization on the integration of gold and stock markets, especially in emerging economies, is explored. The study identifies bidirectional causal relationships between gold prices and stock indices, indicating interdependence. Volatility in the gold market is found to affect stock market returns, particularly in developed economies.
改革开放后黄金市场参数与股票指数关系的综合研究
黄金是一种具有丰富历史遗产的贵金属,具有独特的特性,赋予其持久的价值。本文探讨了黄金的各个方面,从其独特的属性到其应用,开采过程,以及它在全球黄金市场中的作用。它深入研究了影响黄金价格的因素,与黄金投资相关的风险,以及不同的投资方法。此外,本文还探讨了金融自由化后黄金市场与股票指数之间的相互作用。本文进行了全面的文献综述,总结和综合了检验黄金和股票市场关系的实证研究。研究结果显示,受经济状况、地缘政治事件和市场动态等因素的影响,两者之间存在微妙且依赖于环境的关系。此外,金融自由化对黄金和股票市场一体化的影响,特别是在新兴经济体,进行了探讨。该研究确定了黄金价格和股票指数之间的双向因果关系,表明相互依赖。研究发现,黄金市场的波动会影响股市回报,尤其是在发达经济体。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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