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The Impact of COVID-19 on Financial Markets and the Real Economy

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Palabras clave – provistas por la editorial

COVID-19; pandemic; tourism; impact; Vietnam; entry mode; mergers and acquisitions (M&As); sustainable development goal (SDG) index; generalized linear model (GLM); economic groups; family firms; economic concentration; economic power; Latin America; Ecuador; coronavirus; US economy; multiplier effects; tourism sector; COVID-19 pandemic; stock market; stock index; market volatility; impulse response functions; GARCH (1,1) model; banking sector; COVID-19 outbreak; corporate insolvency; simulation; loan restructuring policy; system dynamics; early warning early action; urban; rural; informal labor; credit access; quality of life; Canada; labour market; industrial sectors; financial time series forecasting; stock markets; forecasting methods; technical analysis; financial technology; TAM model; TRA model; trade; GDP; economy; labor market; informational spread of coronavirus; information environment; monetary policy; the COVID-19 pandemic; policy responses; DSGE models; tourist and recreational potential; border areas; state support measures; Leontief model; Dirichlet distribution; uncertainty analysis; workforce; disaster; business environment; pandemic impact; transformation; socioeconomic model; Anglo-Saxon model; Rhenish (German) model; Scandinavian (Swedish) model; Japanese model; Chinese model; Stringency Index; World Pandemic Uncertainty Index; n/a

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