ANALYZING THE BEHAVIOR OF THE EUROPEAN DEVELOPED STOCK MARKET FROM FRANCE DURING THE PERIOD THAT COVERS THE COVID-19 PANDEMIC AND THE WAR BETWEEN RUSSIA AND UKRAINE
Florescu Ion,
Simion Mircea Laurentiu,
Nioata (chireac) Roxana-Mihaela and
Lupu (filip) Gabriela Ana Maria
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Florescu Ion: UNIVERSITY OF CRAIOVA, "EUGENIU CARADA" DOCTORAL SCHOOL OF ECONOMIC SCIENCES, CRAIOVA, ROMANIA
Simion Mircea Laurentiu: UNIVERSITY OF CRAIOVA, "EUGENIU CARADA" DOCTORAL SCHOOL OF ECONOMIC SCIENCES, CRAIOVA, ROMANIA
Nioata (chireac) Roxana-Mihaela: UNIVERSITY OF CRAIOVA, "EUGENIU CARADA" DOCTORAL SCHOOL OF ECONOMIC SCIENCES, CRAIOVA, ROMANIA
Lupu (filip) Gabriela Ana Maria: UNIVERSITY OF CRAIOVA, "EUGENIU CARADA" DOCTORAL SCHOOL OF ECONOMIC SCIENCES, CRAIOVA, ROMANIA
Annals - Economy Series, 2024, vol. 1, 166-171
Abstract:
The main aim of this research study is to examine the behavior of the European developed stock market from France during the period that covers the COVID-19 pandemic and the war between Russia and Ukraine. The empirical analysis is based on selected CAC 40 stock index from the developed stock market in France during the sample period from January 2018 to December 2023. The empirical results provide an overview of the behavior of the French stock market in the selected period.
Keywords: volatility; developed stock market; unit root; stock index; COVID-19 pandemic (search for similar items in EconPapers)
Date: 2024
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Persistent link: https://EconPapers.repec.org/RePEc:cbu:jrnlec:y:2024:v:1:p:166-171
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