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Information transmission between energy commodities and emerging Asian stock markets during crises: an analysis of oil importing countries

Maria Babar (Air University School of Management, Air University, Islamabad, Pakistan)
Habib Ahmad (Air University School of Management, Air University, Islamabad, Pakistan)
Imran Yousaf (College of Business and Public Management, Wenzhou-Kean University, Wenzhou, China)

Asia-Pacific Journal of Business Administration

ISSN: 1757-4323

Article publication date: 29 September 2022

Issue publication date: 2 February 2024

139

Abstract

Purpose

This study examines the information transmission (return and volatility spillovers) among energy commodities (crude oil, natural gas, Brent oil, heating oil, gasoil, gasoline) and Asian stock markets which are net importers of energy (China, India, Indonesia, Malaysia, Korea, Pakistan, Philippines, Taiwan, Thailand).

Design/methodology/approach

The information transmission is investigated by employing the spillover index of Diebold and Yilmaz, using daily data for the period January 2000 to May 2021.

Findings

A Strong connectedness is documented between the two classes of asset, especially during crisis periods. Our findings reveal that most of the energy markets, except gasoil and natural gas, are net transmitters of information, whereas all the stock markets, excluding Indonesia and Korea, are net recipients.

Practical implications

The findings are helpful for portfolio managers and institutional investors allocating funds to various asset classes in times of crisis.

Originality/value

All data is original.

Keywords

Citation

Babar, M., Ahmad, H. and Yousaf, I. (2024), "Information transmission between energy commodities and emerging Asian stock markets during crises: an analysis of oil importing countries", Asia-Pacific Journal of Business Administration, Vol. 16 No. 2, pp. 331-351. https://doi.org/10.1108/APJBA-02-2022-0061

Publisher

:

Emerald Publishing Limited

Copyright © 2021, Emerald Publishing Limited

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