Impact of COVID-19 on Stock Market: Trends, Volatility and Economic Implications (Edition 2022) provides a comprehensive analysis of the unprecedented effects of the COVID-19 pandemic on global financial markets. The book explores how sudden economic disruptions, lockdown measures, and uncertainty influenced stock market behavior across different countries. It examines key aspects such as market volatility, investor sentiment, liquidity challenges, and sectoral performance during the crisis. The text also highlights the role of government interventions, monetary policies, and stimulus packages in stabilizing financial markets. Special emphasis is placed on analyzing major stock indices, global market trends, and the recovery patterns observed post-pandemic. The book discusses how industries such as healthcare, technology, and e-commerce responded differently compared to sectors like travel and hospitality. Through case studies and data-driven analysis, readers gain insights into the relationship between economic shocks and stock market fluctuations. The text also addresses emerging trends such as digital trading, increased retail participation, and the growing importance of financial technology. Ideal for students of finance, economics, and business studies, as well as investors and researchers, this edition serves as both an academic resource and a practical guide for understanding stock market behavior during global crises and economic uncertainty.







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