Stock market cycles, financial liberalization and volatility

被引:77
|
作者
Edwards, S [1 ]
Biscarri, JG
de Gracia, FP
机构
[1] Natl Bur Econ Res, Los Angeles, CA 90095 USA
[2] Univ Calif Los Angeles, Los Angeles, CA 90095 USA
[3] Univ Navarra, IESE Business Sch, E-31080 Pamplona, Spain
[4] Univ Navarra, Dept Econ, E-31080 Pamplona, Spain
关键词
emerging stock market; bull; bear; concordance of cycles; financial liberalization;
D O I
10.1016/j.jimonfin.2003.09.011
中图分类号
F8 [财政、金融];
学科分类号
0202 ;
摘要
In this paper we analyze the cycles of the stock markets in four Latin American and two Asian countries, and we compare their characteristics. We divide our sample in two sub-periods in order to account for differences induced by the financial liberalization processes of the early 1990s. We find that cycles in emerging countries tend to have shorter duration and larger amplitude and volatility than in developed countries. However, after financial liberalization Latin American stock markets have behaved more similarly to stock markets in developed countries whereas Asian countries have become more dissimilar. Concordance of cycles across markets has increased significantly over time, especially for Latin American countries after liberalization. (C) 2003 Elsevier Ltd. All rights reserved.
引用
收藏
页码:925 / 955
页数:31
相关论文
共 50 条
  • [21] Can stock market liquidity and volatility predict business cycles?
    Carlston, Benjamin
    [J]. STUDIES IN ECONOMICS AND FINANCE, 2018, 35 (01) : 81 - 96
  • [22] Financial crises, stock returns and volatility in an emerging stock market: the case of Jordan
    Al-Rjoub, Samer Am
    Azzam, Hussam
    [J]. JOURNAL OF ECONOMIC STUDIES, 2012, 39 (02) : 178 - +
  • [23] FINANCIAL LIBERALIZATION AND STOCK MARKET EFFICIENCY: MEASURING THE THRESHOLD EFFECTS OF GOVERNANCE
    Naghavi, Navaz
    Mubarik, Muhammad Shujaat
    Kaur, Devinder
    [J]. ANNALS OF FINANCIAL ECONOMICS, 2018, 13 (04)
  • [24] Financial Liberalization and Stock Market Efficiency: Causality Analysis of Emerging Markets
    Naghavi, Navaz
    Lau, Wee-Yeap
    [J]. GLOBAL ECONOMIC REVIEW, 2016, 45 (04) : 359 - 379
  • [25] Financial turbulence, systemic risk and the predictability of stock market volatility
    Salisu, Afees A.
    Demirer, Riza
    Gupta, Rangan
    [J]. GLOBAL FINANCE JOURNAL, 2022, 52
  • [26] IMPACT OF THE GLOBAL FINANCIAL CRISIS ON THE VOLATILITY OF THE MALAYSIAN STOCK MARKET
    Angabini, Amir
    Wasiuzzaman, Shaista
    [J]. E-BUSINESS, MANAGEMENT AND ECONOMICS, 2011, 3 : 79 - 84
  • [27] Financial Crisis, Monetary Policy, and Stock Market Volatility in China
    Zhang, Cheng-si
    Zhang, Da-yin
    Breece, Jeffery
    [J]. ANNALS OF ECONOMICS AND FINANCE, 2011, 12 (02): : 371 - 388
  • [28] Oil market volatility and stock market volatility
    Basta, Milan
    Molnar, Peter
    [J]. FINANCE RESEARCH LETTERS, 2018, 26 : 204 - 214
  • [29] Impact of the global financial crisis on stock market volatility: Evidence from Central European stock market
    Sed'a, Petr
    [J]. PROCEEDINGS OF 30TH INTERNATIONAL CONFERENCE MATHEMATICAL METHODS IN ECONOMICS, PTS I AND II, 2012, : 787 - 792
  • [30] Stock market liberalization and innovation
    Moshirian, Fariborz
    Tian, Xuan
    Zhang, Bohui
    Zhang, Wenrui
    [J]. JOURNAL OF FINANCIAL ECONOMICS, 2021, 139 (03) : 985 - 1014