Recent trends in the global stock market: a macro-level analysis with emphasis on asia and central asia (2023–2025)

Recent trends in the global stock market: a macro-level analysis with emphasis on asia and central asia (2023–2025)

Авторы

  • Bobur Mamataliev

DOI:

https://doi.org/10.5281/zenodo.15654835

Ключевые слова:

global stock market, Asia, Central Asia, market volatility, sectoral trends, index performance, factor investing, quantitative analysis, VIX, financial markets.

Аннотация

This study explores recent macro-level trends in the global stock market, focusing on the period from 2023
to mid - 2025, with a special emphasis on Asia and the Central Asian region. Using a combination of empirical trading
data, index performance summaries, and official quarterly reports, the analysis investigates shifts in sectoral dynamics,
volatility patterns, and regional capital flows. Results indicate that while global volatility - measured through the VIX -
remained moderate, there were regional spikes aligned with geopolitical and economic shocks. Central Asia’s stock
exchanges, particularly Uzbekistan and Kazakhstan, exhibited accelerated growth in trading volumes and improved
market participation, driven by digital access and regulatory reform. This paper concludes with strategic recommendations
for market stabilization, including financial infrastructure investment and diversification of traded instruments in emerging
markets.

Биография автора

Bobur Mamataliev


Tashkent State University of Economics
Senior teacher of Economics and Management department,
Phd Student


Библиографические ссылки

MSCI. (2023). MSCI AC Asia ex Japan Index (USD Net & Price). MSCI Inc. https://www.msci.com

MSCI. (2023). Core Multi-Factor Index Brochure. MSCI Inc.

FTSE Russell. (2024). FTSE ASEAN Index Review. https://www.ftserussell.com

Tashkent Stock Exchange. (2024–2025). Quarterly Press Releases Q1 2024, Q1 2025.

Kazakhstan Stock Exchange (KASE). (2025). Index Performance Summary and Daily Trade Tables.

CBOE. (2025). VIX Index Chart. Chicago Board Options Exchange.

Carrion, R. (2023). Unequal Exchange in Latin American Markets: Sectoral Allocation Patterns. Latin American

Economic Review, 45(2), 233–248.

Gheorghe, A., & Panazan, L. (2024). Defense Spending and Volatility Spillovers: VIX and Equity Market Evidence.

Emerging Risk Finance Journal, 12(1), 52–67.

Singh, K. (2025). Financial Technology and Market Confidence in Southeast Asia. Asia-Pacific Journal of Finance,

(3), 114–129.

Houghton, J., & Glynn, D. (2025). Macro-Factor Portfolios and Sector Resilience. Journal of Quantitative Investing,

(1), 77–94.

Загрузки

Опубликован

2025-05-01
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