Debt default, financial risk transmission and governance from the perspective of supply chain network

被引:1
|
作者
Zhang, Yongli [1 ,2 ]
Nan, Xi [2 ]
机构
[1] Tianjin Univ Sci & Technol, Coll Econ & Management, Tianjin 300222, Peoples R China
[2] Hebei GEO Univ, Sch Management, Shijiazhuang 050031, Hebei, Peoples R China
关键词
Supply chain network; Risk spillover; CoVar-DCC-GARCH; Complex network; VOLATILITY SPILLOVER; STOCK MARKETS; SYSTEMIC RISK; RETURN; OIL; CONNECTEDNESS; CAUSALITY; ENERGY;
D O I
10.1016/j.heliyon.2023.e14224
中图分类号
O [数理科学和化学]; P [天文学、地球科学]; Q [生物科学]; N [自然科学总论];
学科分类号
07 ; 0710 ; 09 ;
摘要
The stock risk spillovers of 31 associated enterprises of Evergrande supply chain in China were measured with DCC-GARCH and CoVaR model, and high, moderate and low risk overflow networks in four periods were constructed, finally the overall metrics and dynamic evolution of risk spillover network were explored. The results showed that: With COVID-19 under control in China, the risk spillover of Evergrande supply chain associated enterprises continues to diverge, with the quantity and scope of high risk declining and moderate and low risk rising; The infection scope of high risk spillover has narrowed, from indirect to direct infection; Evergrande subsidiaries play obvious bridge roles in moderate and low risk networks, have strong control over the risk spread; Commercial banks suffer and trigger more risk spillovers, a number of risk spillover groups with commercial banks as cores formed in high and moderate risk networks.
引用
收藏
页数:15
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