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Lessons from the global financial crisis - the case of Mainland China and Hong Kong

机译:全球金融危机的教训-中国大陆和香港

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摘要

The analysis of the intertwined reactions of Hong Kong and Mainland China to the 2008 Global Financial Crisis is considered in this study through the lenses of their stock markets. The GARCH-based analysis of stock market performance over the period December 2011-December 2014 shows that trade and equity sectors were the sectors most affected by the global recession; volatility was prevalent on the Shanghai stock market, whereas volatility persistence characterised the Hong Kong stock market. The results also show that the two stock markets recovered quite quickly. Tight controls applied by the financial authorities helped ensure some stability during the crisis.
机译:本研究通过其股票市场的角度来分析香港和中国大陆对2008年全球金融危机的相互反应。基于GARCH的2011年12月至2014年12月期间的股市表现分析表明,贸易和股票行业是受全球经济衰退影响最大的行业。波动率在上海股市普遍存在,而波动率的持续性是香港股市的特征。结果还显示,两个股票市场恢复得很快。金融当局采取了严格的控制措施,以确保在危机期间保持一定的稳定。

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