COVID-19, the Stock market, and the Economy: Risk and Uncertainty @VanderbiltOwen
COVID-19, the Stock market, and the Economy: Risk and Uncertainty  @VanderbiltOwen
Uploaded May 2020 | Updated September 2026, 2 hours ago
Nick Bollen, the Frank K. Houston Professor of Finance at Vanderbilt's Owen Graduate School of Management, offers his assessment of the stock market's reaction to COVID-19, how it compares to 1987 and 2008, and the opportunities and risks involved.
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COVID-19, the Stock market, and the Economy: Risk and Uncertainty

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