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Based on five case studies, this paper looks at the definition and classification of fiscal risks; sets out the components of a comprehensive fiscal risks framework; and examines how to operationalise such a framework. It then summarises challenges and key lessons to be considered by countries...
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This study examined how uncertainty and global risk affect financial markets in emerging economies, focusing on foreign … investment, CDS spreads, exchange rates, and stock return volatility. Using over 8.6 million ticker transaction observations and …) significantly reduce foreign net buys, more than global market volatility (VIX). While global volatility drives CDS spreads, these …
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