The Impact of Greenhouse Gas Risks on Stock Market Returns: An Application on G7 Countries

dc.contributor.authorKöycü, Erol
dc.date.accessioned2026-01-22T19:34:01Z
dc.date.issued2024
dc.departmentŞırnak Üniversitesi
dc.description.abstractThis study investigates the impact of greenhouse gas risks on stock market returns. While carbon dioxide, methane, and nitrogen gas emissions are taken as greenhouse gases; the stock market benchmark indices of the G7 countries, which are defined as the seven most developed countries in the world, are taken as the basis for the stock market. Due to data limitations, the scope of the current study has been set as the 2000-2020 time period and the panel data analysis method has been applied. In this study, endogeneity and multicollinearity problems, cross-sectional dependence, and homogeneity/heterogeneity tests are tested respectively, and the model is estimated by performing unit root analysis in line with the findings obtained. The results of the analyses indicate that there are no endogeneity and multicollinearity problems among the variables used in the study, there is cross-sectional dependence, the variables are stationary at level I(0), there are problems of autocorrelation in the panel and it is appropriate to estimate the model with the fixed effects model. As a result of the estimation with the robust model estimator that solves the problem of autocorrelation, it is found that carbon dioxide and methane have a negative effect on stock market return, while nitrogen gas has a positive effect on stock market return. These findings suggest that investors reflect their concerns about climate change to stock markets through greenhouse gas emissions.
dc.identifier.doi10.18037/ausbd.1521955
dc.identifier.endpage1726
dc.identifier.issn1303-0876
dc.identifier.issn2667-8683
dc.identifier.issue4
dc.identifier.startpage1705
dc.identifier.trdizinid1287743
dc.identifier.urihttps://doi.org/10.18037/ausbd.1521955
dc.identifier.urihttps://search.trdizin.gov.tr/tr/yayin/detay/1287743
dc.identifier.urihttps://hdl.handle.net/11503/3086
dc.identifier.volume24
dc.indekslendigikaynakTR-Dizin
dc.institutionauthorKöycü, Erol
dc.language.isoen
dc.relation.ispartofAnadolu Üniversitesi Sosyal Bilimler Dergisi
dc.relation.publicationcategoryMakale - Ulusal Hakemli Dergi - Kurum Öğretim Elemanı
dc.rightsinfo:eu-repo/semantics/openAccess
dc.snmzKA_TR_20260122
dc.subjectPanel Data Analysis
dc.subjectGreenhouse Gas
dc.subjectStock Market Returns
dc.titleThe Impact of Greenhouse Gas Risks on Stock Market Returns: An Application on G7 Countries
dc.typeArticle

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