Monetary policy and country risk

被引:1
|
作者
Teles, Vladimir [1 ]
Andrade, Joaquim [2 ]
机构
[1] Getulio Vargas Fdn EESP FGU, Sao Paulo Sch Econ, Sao Paulo, Brazil
[2] Univ Brasilia, Dept Econ, BR-70910900 Brasilia, DF, Brazil
基金
中国国家自然科学基金;
关键词
D O I
10.1080/00036840600949249
中图分类号
F [经济];
学科分类号
02 ;
摘要
This article develops an econometric model in order to study country risk behaviour for six emerging economies (Argentina, Mexico, Russia, Thailand, Korea and Indonesia), by expanding the country beta risk model of Harvey and Zhou (1993), Erb et al. (1996a, b) and Gangemi et al. (2000). Towards this end, we have analysed the impact of macroeconomic variables, especially monetary policy, upon country risk, by way of a time-varying parameter approach. The results indicate an unstable effect of monetary policy upon country risk in periods of crisis. However, this effect is stable in other periods, and the Favero-Giavazzi effect is not verified for all economies, with an opposite effect being observed in many cases.
引用
收藏
页码:2017 / 2024
页数:8
相关论文
共 50 条
  • [21] Impacts of Monetary Policy on Prices in a Country without Own Currency
    Silvestre, Martinho De Matos
    Serra, Antonio Manuel De Almeida
    ADVANCES IN APPLIED ECONOMICS, BUSINESS AND DEVELOPMENT, PT II, 2011, 209 : 508 - 517
  • [22] Monetary policy rules for a developing country: Evidence from Pakistan
    Aleem, Abdul
    Lahiani, Amine
    JOURNAL OF ASIAN ECONOMICS, 2011, 22 (06) : 483 - 494
  • [23] Productivity Shocks and Monetary Policy in a Two-Country Model
    Jang, Tae-Seok
    Okano, Eiji
    FRONTIERS OF ECONOMICS IN CHINA, 2015, 10 (01) : 7 - 37
  • [24] Monetary Policy and Financial Stability: Cross-Country Evidence
    Friedrich, Christian
    Hess, Kristina
    Cunningham, Rose
    JOURNAL OF MONEY CREDIT AND BANKING, 2019, 51 (2-3) : 403 - 453
  • [25] Monetary policy spillovers and the trilemma in the new normal: Periphery country sensitivity to core country conditions
    Aizenman, Joshua
    Chinn, Menzie D.
    Ito, Hiro
    JOURNAL OF INTERNATIONAL MONEY AND FINANCE, 2016, 68 : 298 - 330
  • [26] Macroprudential Policy, Monetary Policy, and Euro Zone Bank Risk
    Meuleman, Elien
    Vander Vennet, Rudi
    INTERNATIONAL JOURNAL OF CENTRAL BANKING, 2022, 18 (04): : 259 - 323
  • [27] MONETARY POLICY AND RISK OF COMMERCIAL BANKS IN VIETNAM
    Nguyen, Dang Quang
    Dang, Van Dan
    JOURNAL OF EASTERN EUROPEAN AND CENTRAL ASIAN RESEARCH, 2024, 11 (03): : 465 - 477
  • [28] Financial uncertainty, risk aversion and monetary policy
    Nkwoma John Inekwe
    Empirical Economics, 2016, 51 : 939 - 961
  • [29] Monetary policy, bond risk premia, and the economy
    Ireland, Peter N.
    JOURNAL OF MONETARY ECONOMICS, 2015, 76 : 124 - 140
  • [30] Monetary Policy Risk: Rules versus Discretion
    Backus, David K.
    Chernov, Mikhail
    Zin, Stanley E.
    Zviadadze, Irina
    REVIEW OF FINANCIAL STUDIES, 2022, 35 (05): : 2308 - 2344