Geopolitical risks, uncertainty, and stock market performance

被引:25
|
作者
Agoraki, Maria-Eleni K. [1 ]
Kouretas, Georgios P. [2 ]
Laopodis, Nikiforos T. [3 ]
机构
[1] Univ Peloponnese, Dept Accounting & Finance, Antikalamos, Greece
[2] Athens Univ Econ & Business, Dept Business Adm, Athens, Greece
[3] Amer Coll Greece, Alba Grad Business Sch & Deree Coll, Athens, Greece
来源
ECONOMIC AND POLITICAL STUDIES-EPS | 2022年 / 10卷 / 03期
关键词
Stock returns; geopolitical risks; economic policy uncertainty; financial crisis; panel data; RETURNS; IMPACT; WAR;
D O I
10.1080/20954816.2022.2095749
中图分类号
C [社会科学总论];
学科分类号
03 ; 0303 ;
摘要
This paper analyses the impact of geopolitical risks and economic policy uncertainty on stock returns. It uses an unbalanced panel dataset of monthly observations for 22 countries for the period 1985-2020. It controls for a set of macroeconomic and market structure variables while also taking into consideration the potential effects of the 2007-2009 financial crisis. This paper shows that the impact of geopolitical risks is negative and statistically significant. The economic interpretation of our main results is that a one-unit standard deviation increase in geopolitical risks decreases stock returns by 10.53-42.14% of its sample mean. For comparison, this paper uses alternatively the global economic policy uncertainty index and the economic policy uncertainty country index, and also finds a statistically significant negative relationship although it is weaker in the latter case.
引用
收藏
页码:253 / 265
页数:13
相关论文
共 50 条
  • [41] The risks and returns of stock investment in a financial market
    Li, Jiang-Cheng
    Mei, Dong-Cheng
    [J]. PHYSICS LETTERS A, 2013, 377 (09) : 663 - 670
  • [42] Geopolitical risks and the oil-stock nexus over 1899-2016
    Antonakakis, Nikolaos
    Gupta, Rangan
    Kollias, Christos
    Papadamou, Stephanos
    [J]. FINANCE RESEARCH LETTERS, 2017, 23 : 165 - 173
  • [43] Policy risks, technological risks and stock returns: New evidence from the US stock market
    Apergis, Nicholas
    [J]. ECONOMIC MODELLING, 2015, 51 : 359 - 365
  • [44] The Impact of Israeli and Saudi Arabian Geopolitical Risks on the Lebanese Financial Market
    Mansour-Ichrakieh, Layal
    [J]. JOURNAL OF RISK AND FINANCIAL MANAGEMENT, 2021, 14 (03)
  • [45] Oil price shocks, geopolitical risks, and green bond market dynamics
    Lee, Chi-Chuan
    Lee, Chien-Chiang
    Li, Yong-Yi
    [J]. NORTH AMERICAN JOURNAL OF ECONOMICS AND FINANCE, 2021, 55
  • [46] A measure of uncertainty for stock performance
    Boston, JR
    [J]. PROCEEDINGS OF THE IEEE/IAFE/INFORMS 1998 CONFERENCE ON COMPUTATIONAL INTELLIGENCE FOR FINANCIAL ENGINEERING (CIFER), 1998, : 161 - 164
  • [47] The Effect of US Stock Market Uncertainty on Emerging Market Returns
    Sarwar, Ghulam
    Khan, Walayet
    [J]. EMERGING MARKETS FINANCE AND TRADE, 2017, 53 (08) : 1796 - 1811
  • [48] Do global geopolitical risks affect connectedness of global stock market contagion network? Evidence from quantile-on-quantile regression
    Lai, Fujun
    Li, Sicheng
    Lv, Liang
    Zhu, Sha
    [J]. FRONTIERS IN PHYSICS, 2023, 11
  • [49] Economic policy uncertainty and stock market volatility
    Liu, Li
    Zhang, Tao
    [J]. FINANCE RESEARCH LETTERS, 2015, 15 : 99 - 105
  • [50] The effect of uncertainty on stock market volatility and correlation
    Asgharian, Hossein
    Christiansen, Charlotte
    Hou, Ai Jun
    [J]. JOURNAL OF BANKING & FINANCE, 2023, 154