Financial Markets, Volatility and Beyond, 3rd Edition

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Bol 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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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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