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The volatility of financial markets has attracted a lot of attention in recent years. However, while particular … that markets have become more volatile, there appears to have been no systematic increase in volatility over the last 20 …
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This article presents event studies that find a significant effect on dollar bond yield spreads when rating agencies put emerging-market sovereign bonds on review with negative outlook. The finding has two conditional implications. If rating agencies can be turned from late into early warning...
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international capital flows should deepen our knowledge of the underlying reasons for increasing capital flow volatility. As part of …
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Before a new financial architecture can be established in the wake of the financial crisis, the increasing importance of the global financial market channel must be fully understood. This importance was illustrated by the unexpectedly strong dampening effects of the financial crisis on the real...
Persistent link: https://www.econbiz.de/10009659534
This paper highlights that the EMU transition process itself can pose challenges to individual accession countries and draws policy implications for ERM II. Differences in financial market development and international liabilities underscore the risks and benefits of ERM II, and may lead to...
Persistent link: https://www.econbiz.de/10009626642