Data on Risk Management Described by Researchers at Institute of Economics and Finance (Do Uncertainty and Action Shocks Affect G7 Stock Market Synchronisation? DCC-GARCH Evidence from the 2024 U.S. Election and the Reciprocal Tariffs ...): Insurance - Risk Management - Insurance News | InsuranceNewsNet

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May 13, 2026 Newswires
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Data on Risk Management Described by Researchers at Institute of Economics and Finance (Do Uncertainty and Action Shocks Affect G7 Stock Market Synchronisation? DCC-GARCH Evidence from the 2024 U.S. Election and the Reciprocal Tariffs …): Insurance – Risk Management

Insurance Daily News

2026 MAY 13 (NewsRx) -- By a News Reporter-Staff News Editor at Insurance Daily News -- Fresh data on risk management are presented in a new report. According to news reporting originating from Warsaw, Poland, by NewsRx correspondents, research stated, “Exogenous shocks can affect equity markets by changing volatility and cross-market co-movement.”

The news correspondents obtained a quote from the research from Institute of Economics and Finance: “This study examines how two U.S.-centred events, treated as different shock types, influence time-varying conditional correlations between the U.S. stock market and other G7 markets. The uncertainty shock is proxied by the U.S. presidential election of 5 November 2024, while the action shock is proxied by President Trump’s 2 April 2025 announcement of reciprocal tariffs. Using daily log returns for the S&P 500 and leading indices for Canada, France, Germany, Italy, Japan and the United Kingdom, we cover January 2010 to July 2025 and assess event effects using correlation paths for June 2024-June 2025 and symmetric ±30-day windows. We employ a DCC-GARCH model to jointly estimate conditional variances and dynamic correlations for six USA-G7 pairs. The results indicate persistent correlation dynamics, with Canada/USA the highest and Japan/USA the lowest. Election-related uncertainty is associated with declines in correlation for European pairs, suggesting temporary decoupling, while Canada and Japan show only small changes.”

According to the news reporters, the research concluded: “By contrast, the tariff action shock significantly increases conditional correlations across all country/USA pairs, implying stronger market synchronisation, with the largest increases in North America and parts of Europe, and the smallest adjustment in Japan.”

For more information on this research see: Do Uncertainty and Action Shocks Affect G7 Stock Market Synchronisation? DCC-GARCH Evidence from the 2024 U.S. Election and the Reciprocal Tariffs Announcement. Risks, 2026,14(4):74. (Risks - http://www.mdpi.com/journal/risks). The publisher for Risks is MDPI AG.

A free version of this journal article is available at https://doi.org/10.3390/risks14040074.

Our news editors report that more information may be obtained by contacting Katarzyna Czech, Department of Econometrics and Statistics, Institute of Economics and Finance, Warsaw University of Life Sciences, Nowoursynowska 166, 02-787 Warsaw, Poland. Additional authors for this research include Michal Wielechowski.

(Our reports deliver fact-based news of research and discoveries from around the world.)

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