An Empirical Investigation on Awareness Regarding Cryptocurrencies Among Investors Under Different Market Regimes

Usha Rekha Chinthapalli, Vishal Dagar, Sakshi Malik, Ángel Acevedo Duque
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Abstract

Cryptocurrency is one of the most notable financial innovations in recent years. The present study provides a novel methodology to understand the level of awareness regarding cryptocurrencies among investors under different market regimes. The study used a survey questionnaire for a sample of 352 investors in sample Asian countries (India, Japan, South Korea, Singapore, Saudi Arabia, Bahrain, Oman, and Dubai). The study has developed eight hypotheses that have been tested considering independent (Statement of Responses About cryptocurrency-SORAC) and dependent variables (Market Factors-MF, Social Sentiment Factors-SF, Technological Factors-TF, Stocks-ST, Bank Deposits-BD) by incorporating t-test, regression, and correlation. The results revealed that cryptocurrency has a significant and positive influence on dependent variables among investors under different market regimes. The results from the analytical findings pave the way for the policymakers of these countries to help design robust mechanisms to regulate their cryptocurrencies under different market regimes.
不同市场制度下投资者对加密货币认识的实证调查
加密货币是近年来最引人注目的金融创新之一。本研究提供了一种新颖的方法来了解不同市场制度下投资者对加密货币的认知水平。研究采用调查问卷的形式,对亚洲样本国家(印度、日本、韩国、新加坡、沙特阿拉伯、巴林、阿曼和迪拜)的 352 名投资者进行了抽样调查。研究提出了八个假设,并通过 t 检验、回归和相关性等方法对自变量(关于加密货币的回应声明-SORAC)和因变量(市场因素-MF、社会情绪因素-SF、技术因素-TF、股票-ST、银行存款-BD)进行了检验。结果显示,在不同市场制度下,加密货币对投资者的因变量具有显著的正向影响。分析结果为这些国家的政策制定者在不同市场制度下设计健全的加密货币监管机制铺平了道路。
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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