Analyzing the impact of economic and political changes on the performance of financial and banking markets
DOI:
https://doi.org/10.36325/ghjec.v21i2.22660.Keywords:
Economic factors, financial markets, capital qualityAbstract
This research aims to analyze the impact of economic and political changes on the performance of financial and banking markets. A deep understanding of this impact is essential for investors, traders, and financial and banking institutions, as economic and political changes can significantly affect the stability and performance of these markets. A range of economic and political factors will be analyzed, and their impact on financial and banking markets will be examined. The central question is: how can the impact of economic and political changes on the performance of financial and banking markets be analyzed and understood? The research seeks to investigate the relationship between economic and political changes and the performance of financial and banking markets. Financial markets are also linked to political research because they constitute a major source of intense political conflicts over distributional outcomes. This is particularly evident in the context of financial crises, whether banking crises, currency crises, sovereign debt crises, or a combination thereof. Global macroeconomic developments and prospects: Uncertainty surrounding the global financial and economic outlook remains high amidst declining economic activity and global investment.
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Copyright (c) 2025 Mohammed ghali Rihe

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