Sovereign Risk and Out-of-Equilibrium Exchange Rate Dynamics

被引:1
|
作者
Carneiro, Dionisio Dias [2 ]
Wu, Thomas [1 ]
机构
[1] Univ Calif Santa Cruz, Dept Econ, Santa Cruz, CA 95060 USA
[2] Inst Econ Policy Res Casa Garcas, BR-22451000 Rio De Janeiro, Brazil
关键词
RATE MODELS; MARKETS; SPREADS; DEBT; COUNTRIES; RATINGS; FIT;
D O I
10.1111/j.1467-9361.2010.00582.x
中图分类号
F0 [经济学]; F1 [世界各国经济概况、经济史、经济地理]; C [社会科学总论];
学科分类号
0201 ; 020105 ; 03 ; 0303 ;
摘要
We show that the sovereign risk premium contains important information on short-run exchange rate dynamics in emerging economies. Net foreign assets serve as the key link between both variables, which acts as a "crude form of collateral." We present two sets of empirical evidence. First, we show that increases in net foreign assets provide a statistically significant reduction on emerging markets sovereign risk premium. Then, we show that out-of-sample forecasts using realized values for the sovereign risk premium have a satisfactory performance when evaluated across three metrics: the mean squared error ratio, the direction of change statistic, and the consistency criterion.
引用
收藏
页码:699 / 711
页数:13
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