The impact of the Russian-Ukrainian crisis on African financial markets

被引:0
|
作者
Gbongue, Florent Kanga [1 ]
Okou, Cyrille Guei [2 ]
Mezui, Cedric Mbeng [3 ]
机构
[1] Univ Felix Houphouet Boigny, Finair Conseil, Abidjan, Cote Ivoire
[2] Univ Jean Lorougnon Guede, Daloa, Cote Ivoire
[3] Fonctionnaire Int, The Hague, Netherlands
关键词
ARMA-GJR-GARCH; venture capital market; copulas; Russian-Ukrainian crisis; TVE; RISK-MANAGEMENT; ECONOMIC-GROWTH; EXTREME VALUES; DEPENDENCE; COUNTRIES; COPULAS;
D O I
暂无
中图分类号
F0 [经济学]; F1 [世界各国经济概况、经济史、经济地理]; C [社会科学总论];
学科分类号
0201 ; 020105 ; 03 ; 0303 ;
摘要
The effects of the Russian-Ukrainian crisis on the venture capital market in the sense of Basel II/III are quantified for nearly 87% of the continent's stock market capitalization. Our methodology combines the ARMA-GJR-GARCH model, extreme value theory (EVT), copula theory and simulation, in order to capture the conditional distributions of returns. Our results reveal that the Russian-Ukrainian crisis constitutes a significant risk factor for African financial markets, in the sense that we observe an increase in risk capital in the crisis period T2 (2022-2023), of the order of 1% to 18% in reference to the normal distribution. However, the additional effect of this crisis, of the order of 0.05% to 15.07%, is evaluated compared to the results of the reference period T1 (2017-2019). To this end, this study advocates for measures aimed at mitigating market risk, in particular the diversification of financial products and hedging instruments, as well as the strengthening of the local investor base, which contributes to the stability of African financial markets.
引用
收藏
页码:S43 / S58
页数:16
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