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We characterise the probability distributions of various categories of gross capital flows conditional on information contained in financial asset prices in a panel of emerging market economies, with a focus on "tail" events. Our framework, based on the quantile regression methodology, allows...
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This paper examines the presumption that Switzerland was faced with higher capital inflows during and after the financial crisis. In order to do this, it identifies waves of capital flows to and from Switzerland using a simple statistical method. The analysis finds that no surges of gross...
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