Impact of International Trade and Globalization on Financial Markets: A Case of Pakistan

Memoona Manzoor Kiani, Shain Taj Raisani, Muhammad Nabeel, Shahan Zeb Khan, Kashif Lodhi
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Abstract

This study investigates the intricate relationship between international trade, globalization, and Pakistan's financial markets through quantitative analysis. Using regression, correlation, time-series, and comparative methodologies, data from 2018 to 2022 was analyzed. Findings indicate a direct correlation between higher trade volumes and improved stock market performance, while a rising globalization index aligns with increased capital inflows. Exchange rate fluctuations reflect the currency's sensitivity to global economic shifts. Comparative analysis with regional counterparts highlights both aligned and divergent financial market trends. Moreover, a sensitivity analysis emphasizes the potential impact of Foreign Direct Investment (FDI) on stock market indices. These insights underscore the importance of trade policies, global integration, and FDI in shaping Pakistan's financial market dynamics within the evolving global economic landscape.
国际贸易和全球化对金融市场的影响:巴基斯坦案例
本研究通过定量分析探讨了国际贸易、全球化和巴基斯坦金融市场之间错综复杂的关系。采用回归、相关、时间序列和比较等方法,对2018年至2022年的数据进行分析。研究结果表明,贸易量增加与股市表现改善之间存在直接关联,而全球化指数上升与资本流入增加相一致。汇率波动反映了货币对全球经济变化的敏感性。与地区同行的比较分析突出了金融市场趋势的一致性和差异性。此外,敏感性分析强调外国直接投资(FDI)对股票市场指数的潜在影响。这些见解强调了在不断变化的全球经济格局中,贸易政策、全球一体化和外国直接投资在塑造巴基斯坦金融市场动态方面的重要性。
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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