Black swan events and stock market behavior in Gulf countries: a comparative analysis of financial crisis (2008) and COVID-19 pandemic

Q4 Business, Management and Accounting
Mohd Ziaur Rehman, K. Karimullah
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引用次数: 0

Abstract

PurposeThe current study aims to examine the impact of two black swan events on the performance of six stock markets in Gulf Cooperation Council (GCC) economies (Abu Dhabi, Bahrain, Dubai, Oman, Qatar and Saudi Arabia). The two selected black swan events are the US Mortgage and credit crisis (Global Financial Crisis of 2008) and the COVID-19 pandemic.Design/methodology/approachThe performance of all the six stock markets are represented by their return and price volatility behavior, which has been measured by applying ARCH/GARCH model. The comparative analysis is done by employing mean difference models. The data is collected from Bloomberg on a daily frequency.FindingsThe response of two black swan events on the GCC stock markets has been heterogenous in nature. During the financial crisis, the impact was heavily felt on most of the stock markets in the GCC countries. It is revealed that the financial crisis had a negative significant impact on four of the six countries. Whereas during the COVID-19 crisis, it is revealed that there is no significant impact on four of the six selected stock markets. The positive significant impact is felt on two stock markets, namely, the Abu Dhabi stock market and the Saudi stock market.Originality/valueThe present investigation attempts to fill the gap in the literature on the intended topic because it is evident from the literature on the chosen subject that no study has been undertaken to evaluate and contrast the impact of the GFC crisis and COVID-19 on the GCC stock markets.
海湾国家的黑天鹅事件与股市行为:金融危机(2008年)与COVID-19大流行的比较分析
本研究旨在研究两个黑天鹅事件对海湾合作委员会(GCC)经济体(阿布扎比、巴林、迪拜、阿曼、卡塔尔和沙特阿拉伯)六个股票市场表现的影响。被选中的两个黑天鹅事件是美国抵押贷款和信贷危机(2008年全球金融危机)和COVID-19大流行。设计/方法/方法六个股票市场的表现由其收益和价格波动行为来表示,并采用ARCH/GARCH模型来衡量。采用均值差分模型进行对比分析。这些数据是从彭博社每天收集的。两个黑天鹅事件对海湾合作委员会股票市场的反应本质上是异质的。在金融危机期间,海湾合作委员会国家的大多数股票市场都受到了严重影响。结果显示,金融危机对六个国家中的四个国家产生了显著的负面影响。而在新冠肺炎危机期间,6个选定的股票市场中有4个没有受到显著影响。对阿布扎比股市和沙特股市均有显著的正向影响。原创性/价值本调查试图填补关于预期主题的文献空白,因为从所选主题的文献中可以明显看出,尚未进行任何研究来评估和对比全球金融危机和COVID-19对海湾合作委员会股票市场的影响。
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来源期刊
Arab Gulf Journal of Scientific Research
Arab Gulf Journal of Scientific Research 综合性期刊-综合性期刊
CiteScore
1.00
自引率
0.00%
发文量
0
审稿时长
>12 weeks
期刊介绍: Information not localized
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