The Effect of Pandemic News on Stock Market Returns During the Covid-19 Crash: Evidence from International Markets

被引:5
|
作者
Tan, Omer Faruk [1 ]
机构
[1] Marmara Univ, Fac Business Adm, Dept Accounting & Finance, Istanbul, Turkey
关键词
Covid-19; financial markets media hype index; country sentiment index; media coverage index; quantile regression; SENTIMENT; MEDIA; UNCERTAINTY;
D O I
10.26650/CONNECTIST2021-884955
中图分类号
G2 [信息与知识传播];
学科分类号
05 ; 0503 ;
摘要
This study investigates the effect of pandemic-related news on stock market returns in international markets using the quantile regression method. The media hype index, fake news index, country sentiment index, infodemic index, and media coverage index provided by the RavenPack data platform are used for the analysis. In this research, 2,996 observations from 80 countries, consisting of daily data from January 22, 2020, to April 17, 2020, were used. The results show that the impact of Covid-19-related news on market returns varies among the quantiles of the stock market; in other words, there is an asymmetric dependency between the news and financial markets. With the increase in coverage about the pandemic in the media, the negative impact on market returns exhibits a decreasing trend from low quantiles to high quantiles. More intense use of effective communication channels is required to alleviate the financial crash caused by Covid-19. To capture the effect of the news on financial markets, this analysis also categorized countries according to the Morgan Stanley Classification Index (MSCI, n.d.), such as by developed, emerging, standalone, and frontier markets and by geographical location, including Europe, Africa, North and South America, Asia, and the Middle East. The results are consistent with the previous findings and the dependency between the news and financial markets remains asymmetric.
引用
收藏
页码:217 / 240
页数:24
相关论文
共 50 条
  • [41] Investor sentiments and stock markets during the COVID-19 pandemic
    Cevik, Emre
    Altinkeski, Buket Kirci
    Cevik, Emrah Ismail
    Dibooglu, Sel
    [J]. FINANCIAL INNOVATION, 2022, 8 (01)
  • [42] Investor sentiments and stock markets during the COVID-19 pandemic
    Emre Cevik
    Buket Kirci Altinkeski
    Emrah Ismail Cevik
    Sel Dibooglu
    [J]. Financial Innovation, 8
  • [43] Determinants and Consequences of Risk Disclosure: Evidence from Chinese Stock Markets during the COVID-19 Pandemic
    Hao, Yarong
    Dong, Bin
    [J]. EMERGING MARKETS FINANCE AND TRADE, 2022, 58 (01) : 35 - 55
  • [44] How do stock markets react to dividend announcements during the COVID-19 pandemic? Evidence from the GCC markets
    Al-Khasawneh, Jamal Ali
    Ali, Heba
    Hassanein, Ahmed
    [J]. INTERNATIONAL JOURNAL OF ISLAMIC AND MIDDLE EASTERN FINANCE AND MANAGEMENT, 2024,
  • [45] Stock market performance and COVID-19 pandemic: evidence from a developing economy
    Insaidoo, Michael
    Arthur, Lilian
    Amoako, Samuel
    Andoh, Francis Kwaw
    [J]. JOURNAL OF CHINESE ECONOMIC AND FOREIGN TRADE STUDIES, 2021, 14 (01) : 60 - 73
  • [46] The Impact of COVID-19 Pandemic on Emerging Country Stock Markets: Evidence of the Value Effect
    Yang, Yang
    Li, Lingyi
    Jiang, Jialing
    [J]. EMERGING MARKETS FINANCE AND TRADE, 2022, 58 (01) : 70 - 81
  • [47] MARKET RISK DATA ANALYTICS FOR SELECTED ASIAN STOCK MARKETS DURING THE PANDEMIC COVID-19
    Teng, Leng Jing
    Cheong, Chin Wen
    Min, Lim
    [J]. JOURNAL OF QUALITY MEASUREMENT AND ANALYSIS, 2023, 19 (02): : 57 - 72
  • [48] The impact of the COVID 19 pandemic on stock market volatility: evidence from a selection of developed and emerging stock markets
    Muhammad Niaz Khan
    Suzanne G. M. Fifield
    David M. Power
    [J]. SN Business & Economics, 4 (6):
  • [49] Government interventions and stock market performance during COVID-19 pandemic: Empirical evidence from Ghana
    Askandir, Iddriss
    Bondzie, Eric Amoo
    Tweneboah, George
    [J]. COGENT SOCIAL SCIENCES, 2024, 10 (01):
  • [50] Connectedness of stock markets with gold and oil: New evidence from COVID-19 pandemic
    Benlagha, Noureddine
    El Omari, Salaheddine
    [J]. FINANCE RESEARCH LETTERS, 2022, 46