Immune Or Vulnerable? African Stock Markets’ Response To U.S.–China Trade Wars And Geopolitical Tensions

dc.contributor.authorKorsah, D.
dc.contributor.authorDanso, S.K.
dc.date.accessioned2026-03-19T17:09:32Z
dc.date.issued2025-11-12
dc.descriptionResearch Article
dc.description.abstractThis study examines the dynamic impact of the U.S.–China trade war and geopolitical risks on African stock mar ket returns. Using Wavelet Coherence analysis and the Quantile Vector Autoregression (QVAR) model, we capture both time–frequency dynamics and regime-specific connectedness. Drawing on data from seven major African stock exchanges, Geopolitical Risk (GPRI) and U.S.–China Trade Tension (UCTI) indices from January 2007 to February 2024, the results reveal that African markets are not immune but exhibit state-dependent vulnerability. During calm market conditions, trade tensions dominate as the main shock transmitter, whereas geopolitical risks become more influential in crisis periods. The Johannesburg Stock Exchange (JSE) emerges as a key transmitter of shocks, while the Nigerian Exchange (NGX) remains the largest receiver. These findings underscore the need for targeted regional risk manage ment and coordinated policy responses to enhance Africa’s financial resilience against external shocks.
dc.description.sponsorshipNone
dc.identifier.citationKorsah, D., & Kwadwo Danso, S. (2025). Immune or vulnerable? African stock markets’ response to US–China trade wars and geopolitical tensions. Future Business Journal, 11(1), 1-17.
dc.identifier.urihttps://doi.org/10.1186/s43093-025-00688-3
dc.identifier.urihttps://ugspace.ug.edu.gh/handle/123456789/44798
dc.language.isoen
dc.publisherFuture Business Journal
dc.subjectU.S.–China trade war
dc.subjectGeopolitical risk
dc.subjectAfrican stock markets
dc.subjectWavelet coherence
dc.subjectQuantile VAR
dc.subjectSpillover
dc.titleImmune Or Vulnerable? African Stock Markets’ Response To U.S.–China Trade Wars And Geopolitical Tensions
dc.typeArticle

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