Volatility and Dynamic Herding in Energy Sector of Developed Markets During COVID-19: A Markov Regime-Switching Approach

被引:0
|
作者
Javaira, Zuee [1 ]
Sahar, Najam Us [2 ]
Hashmi, Syed Danial [3 ]
Naz, Iram [4 ]
机构
[1] Fed Urdu Univ Arts Sci & Technol FUUAST, Islamabad, Pakistan
[2] Natl Univ Med Sci, AFIPGM, Rawalpindi, Pakistan
[3] Riphah Int Univ, Fac Management Sci, Islamabad, Pakistan
[4] Natl Univ Sci & Technol, Coll Signals, Islamabad, Pakistan
关键词
Herding; Energy sector; COVID-19; Volatility; Markov regime approach; FRONTIER STOCK MARKETS; IMPLIED VOLATILITY; EQUITY MARKETS; BEHAVIOR; OIL; DRIVE; INFORMATION; RISK; NEWS;
D O I
10.1007/s40647-023-00395-9
中图分类号
C [社会科学总论];
学科分类号
03 ; 0303 ;
摘要
This study examines a novel relationship between volatility and dynamic herding behavior during COVID-19 by examining the relationship of oil market volatility, Global volatility and Infectious disease equity market volatility with time-varying herding behavior in energy stock of Developed markets. Using country level data, this study observes that market switch between anti-herding to herding state during pandemic and all three volatility measures have significant impact on dynamic herding state under high dispersion regime. However, in low dispersion regime only global volatility has significant impact on time-varying herding behavior. This study suggests that the level of speculation in energy sector affect investor behavior; therefore, policy makers should monitor and model possible signals related to health crisis that can be transformed in to financial market crisis.
引用
收藏
页码:115 / 138
页数:24
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