This dataset contains information about the impact of the COVID-19 pandemic on the financial sector, including stock market fluctuations, changes in interest rates, and shifts in consumer behavior.
The data can be used to analyze the economic impact of the pandemic, and to inform policy decisions related to financial regulation and stimulus. This dataset is a valuable resource for financial institutions, policymakers, and investors who are looking to understand the economic effects of the pandemic and develop strategies for managing risk and uncertainty in the financial sector.
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