Financial Globalization, Financial Crises, and the External Portfolio Structure of Emerging Markets

被引:8
|
作者
Mendoza, Enrique G. [1 ]
Smith, Katherine A. [2 ]
机构
[1] Univ Penn, Philadelphia, PA 19104 USA
[2] US Naval Acad, Annapolis, MD 21402 USA
来源
SCANDINAVIAN JOURNAL OF ECONOMICS | 2014年 / 116卷 / 01期
关键词
Capital controls; financial crisis; financial liberalization; D52; E44; F32; F41; SUDDEN STOPS; PRECAUTIONARY;
D O I
10.1111/sjoe.12039
中图分类号
F [经济];
学科分类号
02 ;
摘要
We study the transitional dynamics of financial integration in emerging economies using a two-sector model with a collateral constraint on external debt and trading costs incurred by foreign investors. The probability of a financial crisis displays overshooting; it rises sharply initially and then falls sharply, but remains non-zero in the long run. While equity holdings fall permanently, bond holdings initially fall, but rise after the probability of a crisis peaks. Conversely, asset returns and asset prices first rise and then fall. These results are in line with the post-globalization dynamics observed in emerging markets, and the higher frequency of crises that they display.
引用
收藏
页码:20 / 57
页数:38
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