Impact of the 2007 US financial crisis on the emerging equity markets

被引:56
|
作者
Majid, M. Shabri Abd [1 ]
Kassim, Salina Hj [1 ]
机构
[1] Int Islamic Univ Malaysia, Dept Econ Kulliyyah Econ & Management Sci, Kuala Lumpur, Malaysia
关键词
Indonesia; Malaysia; Equity capital; Stock markets; Recession; Globalization;
D O I
10.1108/17468800910991241
中图分类号
F [经济];
学科分类号
02 ;
摘要
Purpose - The purpose of this paper is to explore empirically the effects of the current financial crisis on the integration and co-movements of selected stock markets of the emerging economies, namely Indonesia and Malaysia. Design/methodology/approach - The paper employs the standard time series technique and vector autoregressive framework. Findings - The results of this paper support the general view that stock markets tend to show greater degree of integration or increased co-movements during the crisis period, resulting in lesser benefit of diversification that can be gained by investors participating in these markets. Research limitations/implications - This paper only focuses on emerging equity markets of Malaysia and Indonesia. Practical implications - This paper reveals that unlike during the pre-crisis period, the long-run diversification benefits that can be earned by investors across the emerging equity markets of Indonesia and Malaysia during the crisis period tend to diminish. Originality/value - By dividing the study periods into the pre-crisis period and during the crisis period, it enables us to explore whether the cross-market linkages between these markets change due to the crisis.
引用
收藏
页码:341 / 357
页数:17
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