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新冠疫情与金融:未来研究议程

COVID-19 and finance: Agendas for future research.

作者信息

Goodell John W

机构信息

College of Business Administration, University of Akron, Akron, OH 44325, USA.

出版信息

Financ Res Lett. 2020 Jul;35:101512. doi: 10.1016/j.frl.2020.101512. Epub 2020 Apr 12.

DOI:10.1016/j.frl.2020.101512
PMID:32562472
原文链接:https://pmc.ncbi.nlm.nih.gov/articles/PMC7152896/
Abstract

This paper highlights the enormous economic and social impact of COVID-19 with respect to articles that have either prognosticated such a large-scale event, and its economic consequences, or have assessed the impacts of other epidemics and pandemics. A consideration of possible impacts of COVID-19 on financial markets and institutions, either directly or indirectly, is briefly outlined by drawing on a variety of literatures. A consideration of the characteristics of COVID-19, along with what research suggests have been the impacts of other past events that in some ways roughly parallel COVID-19, points toward avenues of future investigation.

摘要

本文着重探讨了新冠疫情在经济和社会方面产生的巨大影响,所涉及的文章要么对如此大规模的事件及其经济后果进行了预测,要么评估了其他流行病和大流行病的影响。通过借鉴各种文献,简要概述了新冠疫情对金融市场和机构可能产生的直接或间接影响。对新冠疫情的特征进行考量,再结合研究表明的过去其他在某些方面与新冠疫情大致相似的事件所产生的影响,为未来的研究指明了方向。

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本文引用的文献

1
Pandemic risk: how large are the expected losses?大流行风险:预期损失有多大?
Bull World Health Organ. 2018 Feb 1;96(2):129-134. doi: 10.2471/BLT.17.199588. Epub 2017 Dec 5.
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Heterogeneity and Cooperation: The Role of Capability and Valuation on Public Goods Provision.异质性与合作:能力和估值在公共物品提供中的作用
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