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Risk Synchronization in International Stock Markets
- Source :
- Dipòsit Digital de la UB, Universidad de Barcelona, Recercat. Dipósit de la Recerca de Catalunya, instname
- Publication Year :
- 2017
- Publisher :
- Informa UK Limited, 2017.
-
Abstract
- We explore international risk synchronization in global stock markets over the last two decades. To this end, we construct global indices of risk synchronization based on individual estimations of market risk and their aggregation via spatial correlations. We then use these indices to analyze the effects of several financial crises on market risk synchronization. Our results reveal different risk-profile dynamics for mature and emerging markets. Contrary to general reports, we also find that not all financial crises induce a higher level of synchronization among markets, at least in relative terms. Indeed, some crises had the opposite effect, that is, a decoupling of market risk.
- Subjects :
- Risk
International stock markets
Stock-exchange
Financial system
Monetary economics
Synchronization
Financial market
Risc (Economia)
Stock exchange
0502 economics and business
Economics
Sincronització
050207 economics
Business and International Management
Emerging markets
health care economics and organizations
Stock (geology)
International market
Correlació (Estadística)
050208 finance
05 social sciences
Stock market bubble
Mercat financer
Market risk
Political Science and International Relations
Correlation (Statistics)
General Economics, Econometrics and Finance
Borsa de valors
Subjects
Details
- ISSN :
- 17443873 and 1226508X
- Volume :
- 47
- Database :
- OpenAIRE
- Journal :
- Global Economic Review
- Accession number :
- edsair.doi.dedup.....847d95de5e6144fcc199efb49fefc09d
- Full Text :
- https://doi.org/10.1080/1226508x.2017.1407952