Fiscal deficits and sub-sector stock market dynamics in Canada

dc.contributor.advisorChowdhury, Murshed
dc.contributor.authorOmenife, Paul Chinonso
dc.date.accessioned2025-11-12T19:39:46Z
dc.date.available2025-11-12T19:39:46Z
dc.date.issued2025-08
dc.description.abstractThis study analyses the impact of fiscal deficits on Canadian sectoral stock markets using monthly data (2000-2025) and linear/nonlinear ARDL models. Fiscal stance is measured by the cyclically adjusted balance (CAB). Results show no short-run effects, but in the long run, Telecommunications and Information Technology respond negatively: a one-billion CAD rise in deficit lowers telecom stocks by 1.1 % and IT by 2.7%. Nonlinear results, however, reveal asymmetry in telecom, where deficits raise values by 2.4% while surpluses cut them by 2.8%, indicating differing investor reactions. Most sectors remain unaffected, but those tied to infrastructure and innovation are more sensitive. The findings suggest persistent deficits undermine confidence in tech but may temporarily support telecom through targeted spending. Thus, predictable fiscal policy with selective investment, is key to fostering growth in innovation-driven sectors.
dc.description.copyright@ Paul Chinonso Omenife 2025
dc.format.extentviii, 93
dc.format.mediumelectronic
dc.identifier.urihttps://unbscholar.lib.unb.ca/handle/1882/38464
dc.language.isoen
dc.publisherUniversity of New Brunswick
dc.rightshttp://purl.org/coar/access_right/c_abf2
dc.subject.disciplineEconomics
dc.titleFiscal deficits and sub-sector stock market dynamics in Canada
dc.typemaster report
oaire.license.conditionother
thesis.degree.disciplineEconomics
thesis.degree.grantorUniversity of New Brunswick
thesis.degree.levelmasters
thesis.degree.nameM.A.

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