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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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excitement of potential gain is disconnected from the anxiety of potential consequences; producing groupthink and bubbles. When … potential. Policy implications go well beyond improving regulation and transparency. -- Financial bubbles ; financial crises …
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