Financial markets under the global pandemic of COVID-19
Zhang, Dayong; Hu, Min; Ji, Qiang
刊名FINANCE RESEARCH LETTERS
2020
卷号36
DOI10.1016/j.frl.2020.101528
英文摘要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.
语种英语
内容类型期刊论文
源URL[http://ir.casisd.cn/handle/190111/9772]  
专题中国科学院科技战略咨询研究院
推荐引用方式
GB/T 7714
Zhang, Dayong,Hu, Min,Ji, Qiang. Financial markets under the global pandemic of COVID-19[J]. FINANCE RESEARCH LETTERS,2020,36.
APA Zhang, Dayong,Hu, Min,&Ji, Qiang.(2020).Financial markets under the global pandemic of COVID-19.FINANCE RESEARCH LETTERS,36.
MLA Zhang, Dayong,et al."Financial markets under the global pandemic of COVID-19".FINANCE RESEARCH LETTERS 36(2020).
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