"economic crises" - Selaus asiasanan mukaan Jyväskylän ammattikorkeakoulu
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A New Approach to Assess Stock Market Risk-return and Volatility in the Context of Covid-19: a Study of Multiple Stock Markets
(2022)The second decade of the 21st century was greeted with the rapid spread of the SARS-CoV virus. In March 2020, each country was forced to establish its own systems of restrictions and controls to mitigate contagion. This ... -
Sign of slowbalisation based on the analysis of fluctuations of FDI values
(2020)There have been beliefs that the globalization, which has ruled the world for several decades, is no longer its driving force. As a response to global challenges and problems the slowbalisation concept has been created. ... -
The Dynamics of Risk and Return in the Stock Market of Finland During Pre and Post Financial Crisis Periods
(2021)In a high-risk situation such as a financial crisis, investors need to properly allocate resources for insurance purposes and accurately predict possible market movements and reactions. The situation on the stock markets ... -
The interrelationship between interest rate, inflation, and Economic growth- A comparison between Germany and France
(2022)Economic growth can be affected by fiscal policy, monetary and other policies drawn by its governments and central banks. Several factors determine economic growth, and interest rate is one factor that influences borrowers' ...