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GSQ indicators seem to be divided into two teams in terms of their Gcausality: (i) these which might be G-triggered primarily by trading volumes (Enterprise and Industrial, Bankruptcy, Monetary Planning and Finance and Funding) and complete entity occurrences in the information and (ii) these which might be strongly G-attributable to all other GSQ classes (Unemployment).

It is stratified by the financial companies business, with main weekly news and views items on investment banking , asset management , private fairness , fintech, trading and regulation as well as individuals coverage spanning key strikes, recruitment and employment trends, regulation round salaries and bonuses, enterprise schooling, range and more.

As a result of the variety of documents adjustments each day, whereas the variety of entities stays constant, all NCI indices in our analyses are normalised by dividing them by the number documents in the corpus, m. We now have statistically confirmed that the NCI is significantly above the level of fluctuations of the cohesiveness random null model (see Section 2 of the Supplementary Data ).

Because of the growing complexity and interconnectivity of the global monetary system and international financial system, it is much less likely that we are going to arrive at a single measure of systemic risk; it is extra plausible that we are going to perceive systemic financial threat as a set of measures 30 Based on this reasoning and the robust correlation between the NCI-financial and the VIX, we hypothesise that the NCI-financial can be utilized as a news-borne measure that displays the degree of systemic threat.

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