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Search: ("Asymmetric information" OR "Business database" OR "Country risk" OR "Credit risk" OR "Data quality" OR "Financial crisis" OR "International financial market" OR "World") AND NOT isPartOf:Intereconomics
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1
Exchange rates and sovereign risk : a nonlinear approach based on local Gaussian correlations
Heinlein, Reinhold
;
Legrenzi, Gabriella
;
Mahadeo, Scott …
-
2024
for a sample of emerging markets. Our period of analysis includes periods of severe stress, such as the Global
Financial
…
Crisis
, the COVID-19 pandemic and the Ukrainian War. Using the most recent developments in local Gaussian partial correlation …
Persistent link: https://www.econbiz.de/10014505308
Saved in:
2
Stigma or cushion? : IMF programs and sovereign creditworthiness
Gehring, Kai
;
Lang, Valentin
-
2018
IMF programs are often considered to carry a "stigma" that triggers adverse market reactions. We show that such a negative IMF effect disappears when accounting for endogenous selection into programs. To proxy for a country's access to financial markets, we use credit ratings and investor...
Persistent link: https://www.econbiz.de/10011931328
Saved in:
3
Beyond borders : assessing the influence of geopolitical tensions on sovereign risk dynamics
Afonso, António
;
Alves, José
;
Monteiro, Sofia
-
2023
We assess the impact of geopolitical risk and
world
uncertainty on the sovereign debt risk of 26 European Economies …
Persistent link: https://www.econbiz.de/10014442414
Saved in:
4
Bank regulation and sovereign risk : a paradox
Afonso, António
;
Teixeira, André
-
2023
This paper investigates the impact of banking prudential regulation on sovereign risk. We show that prudential regulation reduces sovereign risk and induces governments to spend more. As a result, countries with tight prudential regulation have lower primary budget balances and accumulate more...
Persistent link: https://www.econbiz.de/10014281475
Saved in:
5
Financial stability in Europe : banking and sovereign risk
Brůha, Jan
;
Kočenda, Evžen
-
2017
We analyze the link between banking sector quality and sovereign risk in the whole European Union over 1999–2014. We employ four different indicators of sovereign risk (including market- and opinion-based assessments), a rich set of theoretically and empirically motivated banking sector...
Persistent link: https://www.econbiz.de/10011646829
Saved in:
6
Different no more : country spreads in advanced and emerging economies
Born, Benjamin
;
Müller, Gernot J.
;
Pfeifer, Johannes
; …
-
2020
,200 quarterly observations for 21 advanced and 17 emerging economies since the early 1990s. Before the
financial
crisis
, spreads are …
Persistent link: https://www.econbiz.de/10012162762
Saved in:
7
Financial integration and European tourism stocks
Caporale, Guglielmo Maria
;
Yfanti, Stavroula
; …
-
2023
This study examines the macro drivers of the time-varying (dynamic) connectedness between eleven European tourism sectors. Financial integration between the travel and leisure markets, measured by their dynamic correlations or co-movement, is explained by common global fundamentals. The...
Persistent link: https://www.econbiz.de/10013540847
Saved in:
8
Alternative measures for the global financial cycle : do they make a difference?
Tian, Xin
;
Jacobs, Jan
;
Haan, Jakob de
-
2022
We construct several measures for the global financial cycle using dynamic factor models and data for 25 advanced and emerging countries over 1980-2019. Our results suggest that global cycles in asset prices and capital flows are highly similar and synchronized, especially during crisis...
Persistent link: https://www.econbiz.de/10013186798
Saved in:
9
Systemic crisis and growth revisited : has the global
financial
crisis
marked a new era?
Steinkamp, Sven
;
Westermann, Frank
-
2018
Financial
Crisis
, 2007/8. We analyze the time-varying nature of this relationship in rolling regressions and an historical …
Persistent link: https://www.econbiz.de/10011863602
Saved in:
10
Global uncertainty
Caggiano, Giovanni
;
Castelnuovo, Efrem
-
2021
the
world
output loss that materialized during the great recession would have been 13% lower in absence of GFU shocks. We … after GFU shocks, the larger the
world
output contraction is. …
Persistent link: https://www.econbiz.de/10012431805
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