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Financial Markets, Financial Volatility and Beyond, 3rd Edition
Ruipeng Liu (editor)
2025
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This Special Issue brings together 17 original research articles offering timely and impactful insights into the evolving landscape of finance and risk management. The contributions span a broad geographical scope—from small island economies to major global markets—and address critical themes such as market volatility, financial contagion, banking sector dynamics, portfolio optimization, behavioral finance, and the intersection of finance with environmental and geopolitical risks.
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Keywords
- asset pricing
- climate finance
- Derivatives
- Energy Markets
- Estimation and forecasting
- Financial market modelling
- Fund management
- Interdisciplinary applications in finance
- long memory
- Risk measurement and management
- volatility
Links
DOI: 10.3390/books978-3-7258-5494-3Editions
