Do Macroeconomic Indicators Explain India's Sovereign Ratings? An Empirical Analysis

被引:0
|
作者
Samantaraya, Amaresh [1 ]
Verrier, Jeanne [2 ]
机构
[1] Reserve Bank India, Dept Banking Supervis, Bombay, Maharashtra, India
[2] Int Monetary Fund, Res Dept, Washington, DC 20431 USA
来源
关键词
Sovereign Ratings; Ordered Probit Model;
D O I
10.1177/097380100900300301
中图分类号
F [经济];
学科分类号
02 ;
摘要
Sovereign rating-an assessment of the relative likelihood of a country defaulting on its financial obligations-is important not only because better ratings facilitate external borrowing at favourable rates of interest, but also for the impetus it gives to the development of domestic financial markets in an emerging economy. Assessing the role of various macroeconomic factors influencing India's sovereign rating, our preliminary analysis indicated that while upgrading India's sovereign rating since 2003-04 both Standard and Poor's and Moody's apparently taken, high GDP growth, rising foreign reserves, declining fiscal deficit and rising exports into account, but the economic rational for downgrading the rating between 1998 and 2002 is not very convincing. The econometric analysis, using an ordered probit model, did not find strong statistical support for several relevant macroeconomic indicators in the determination of India's sovereign ratings. Could a major part of the explanation have come from some other sources, such as qualitative social and political considerations? India's relatively low sovereign ratings compared to its peers raises questions about rating agencies appropriately accounting for India's excellent economic performance in recent years; its formidable record of serving all external liabilities on time; and factors related to political stability and the social fabric of unity amidst diversity. Had these factors been taken into account appropriately, perhaps India's rating would have been better reflective of reality.
引用
收藏
页码:193 / 221
页数:29
相关论文
共 50 条
  • [1] Correlation analysis between macroeconomic indicators and level of ratings in EU countries
    Kopyscianski, Tomasz
    Rolczynski, Tomasz
    Frankow, Marzena
    [J]. EUROPEAN FINANCIAL SYSTEMS 2017: PROCEEDINGS OF THE 14TH INTERNATIONAL SCIENTIFIC CONFERENCE, PT 1, 2017, : 350 - 356
  • [2] Empirical analysis of the environmental and energy policies in some developing countries using widely employed macroeconomic indicators: the cases of Brazil, China and India
    Focacci, A
    [J]. ENERGY POLICY, 2005, 33 (04) : 543 - 554
  • [3] U.S. Antidumping Enforcement and Macroeconomic Indicators Revisited: Do Petitioners Learn?
    Robert M. Feinberg
    [J]. Review of World Economics, 2005, 141 : 612 - 622
  • [4] DO MACROECONOMIC CONDITIONS EXPLAIN DRUG PRICE VARIATIONS ACROSS COUNTRIES? A CROSS-SECTIONAL ANALYSIS
    Tsang, K. P.
    Wang, B. C. M.
    Patel, P.
    [J]. VALUE IN HEALTH, 2012, 15 (07) : A617 - A617
  • [5] Impact of U.S. financial crisis on RRICS: an empirical investigation o macroeconomic and financial indicators
    Kalsie, Anjala
    Arora, Ashima
    [J]. TRANSNATIONAL CORPORATIONS REVIEW, 2024, 16 (01) : 89 - 102
  • [6] Grey relational analysis between Turkey's macroeconomic indicators and domestic savings
    Duran, Engin
    Duran, Burcu Uzgur
    Akay, Diyar
    Boran, Fatih Emre
    [J]. GREY SYSTEMS-THEORY AND APPLICATION, 2017, 7 (01) : 45 - 59
  • [7] China's Social Security System and Empirical Analysis of indicators
    Chen Jie
    Zhang Lihua
    Ma Li
    [J]. SOFT POWER INNOVATION AND DEVELOPMENT IN TODAY'S CHINA: PROCEEDINGS OF THE FIRST INTERNATIONAL CONFERENCE OF NATIONAL SOFT POWER (ICNSP), 2011, : 424 - 429
  • [8] COMPETITIVENESS OF INDIA'S AGRICULTURAL EXPORT: AN EMPIRICAL ANALYSIS
    Sarin, Vishal
    Kaur, Namita
    [J]. INTERNATIONAL JOURNAL OF AGRICULTURAL AND STATISTICAL SCIENCES, 2023, 19 (01): : 323 - 328
  • [9] An empirical analysis of India’s trade in goods with BRICS
    Maryam J.
    Mittal A.
    [J]. International Review of Economics, 2019, 66 (4) : 399 - 421
  • [10] The macroeconomic impacts of government debt: An empirical analysis of the 1980s and 1990s
    Wheeler M.
    [J]. Atlantic Economic Journal, 1999, 27 (3) : 273 - 284