Revisiting the impact of geopolitical risk on Sukuk, stocks, oil and gold markets during the crises period: fresh evidence from wavelet-based approach
Purpose In this study, the authors analyze the impact of geopolitics risk on Sukuk, Islamic and composite stocks, oil and gold markets and portfolio diversification implications during the COVID-19 pandemic and Russia–Ukraine conflict period.Design/methodology/approachThe study used a mix of wavelet...
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Veröffentlicht in: | Managerial finance 2024-02, Vol.50 (3), p.514-533 |
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Format: | Artikel |
Sprache: | eng |
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