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This study investigates the relationship between financial market integration and stock price volatility in 11 MENA countries, utilizing various statistical methods to analyze market interconnections and volatility impacts. Results indicate a strong correlation among markets like Jordan, Bahrain, Dubai, and Oman, suggesting that economic shocks are transmitted across interconnected markets. The findings aim to inform policymakers and investors about managing financial risks and enhancing market stability.
- Author
- Tehia Marianne Koua
- Language
- EN