The Ukraine-Russia war and systemic financial stress
Résumé
In this paper, we investigate the impact of the ongoing conflict between Ukraine and Russia on systemic risk in financial markets. Using daily systemic risk data from 28 countries between December 2021 and April 2022, we highlight strong financial stress since the invasion of Ukraine by Russia. In doing so, we provide the first evidence of the impact of the Ukraine-Russia war on systemic risk.
Domaines
Finance [q-fin.GN]
Fichier principal
The Ukraine-Russia war and systemic financial stress.pdf (885.7 Ko)
Télécharger le fichier
Origine | Fichiers éditeurs autorisés sur une archive ouverte |
---|