See volatility cluster in All languages combined, or Wiktionary
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"ref": "2018 August 11, Kirkpinar Ayşegül, Evrim Mandaci Pınar, “A volatility spillover analysis between bond and commodity markets as an indicator for global liquidity risk”, in Panoeconomicus, volume 70, number 1, published 18 February 2022, →DOI, page 82 of 71–100:",
"text": "Figure 3 shows the volatility clustering for oil, gold, and the five developing bond market return series in the period between 2008 and 2022. Regarding the magnitude of volatility clustering, China, India, Russia, and especially oil, appear more volatile than other markets and volatility clusters occurred around 2008-2010 because of worldwide economic instability. The reason for the volatility clusterings in 2008-2009 in Figure 3, was the crisis precipitated by the collapse of subprime mortgages in the U.S. in 2008.",
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Download raw JSONL data for volatility cluster meaning in English (2.0kB)
This page is a part of the kaikki.org machine-readable English dictionary. This dictionary is based on structured data extracted on 2026-06-15 from the enwiktionary dump dated 2026-06-01 using wiktextract (03da280 and 7f4db16). The data shown on this site has been post-processed and various details (e.g., extra categories) removed, some information disambiguated, and additional data merged from other sources. See the raw data download page for the unprocessed wiktextract data.
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