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    Published on Wednesday, January 21, 2015 | Updated on Wednesday, January 21, 2015

    Volatility, a key element in the global financial scenario

    Summary

    It is of key importance to track volatility in financial markets, principally because of its impact on real activity. Our Global Volatility Index (GVI-BBVA) aims to synthesise, in a single variable, the dynamics of financial market volatility in a more comprehensive way than the indicator normally used, the VIX.

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    Authors

    María Martínez BBVA Research - Principal Economist

    Documents and files

    Report (PDF)

    GVI_ESP

    Spanish - January 21, 2015

    Report (PDF)

    GVI_ING

    English - January 21, 2015

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