Realizing the volatility impacts of sovereign credit ratings information on equity and currency markets: Evidence from the Asian Financial Crisis (original) (raw)

Sovereign credit ratings and financial market volatility : bi-directional relationships and heterogeneous impact

Vu Tran

2015

View PDFchevron_right

Sovereign credit ratings, market volatility, and financial gains

António Afonso

Computational Statistics & Data Analysis, 2013

View PDFchevron_right

Sovereign Credit Ratings and Asian Financial Markets

Zuzana Virglerová

E+M Ekonomie a Management, 2021

View PDFchevron_right

The impact of sovereign rating changes and financial contagion on stock market returns: Evidence from five Asian countries

Huimin Li, Thomas Chiang

Global Finance Journal, 2008

View PDFchevron_right

Effects of Sovereign Credit Rating Announcements on Stock Markets: Borsa Istanbul Case

murat yıldırım

View PDFchevron_right

The national market impact of sovereign rating changes

Robert Faff

Journal of Banking & Finance, 2004

View PDFchevron_right

Stock Market Reactions To Sovereign Credit Rating Changes: Evidence From Four European Countries

Habib Hasnaoui

Journal of Applied Business Research (JABR), 2014

View PDFchevron_right

Sovereign credit ratings, emerging market risk and financial market volatility

Helmut Reisen

View PDFchevron_right

Does sovereign debt ratings news spill over to international stock markets?

Paulo Gama

Journal of Banking & Finance, 2007

View PDFchevron_right

Pro-cyclical effect of sovereign rating changes on stock returns: a fact or factoid?

Yasir Riaz

Applied Economics, 2018

View PDFchevron_right

Investors’ heterogeneous beliefs and the impact of sovereign credit ratings in foreign exchange and equity markets

Vu Tran

The European Journal of Finance, 2019

View PDFchevron_right

Emerging markets instability: do sovereign ratings affect country risk and stock returns

Graciela L Kaminsky

2001

View PDFchevron_right

Sovereign Rating News and Financial Markets Spillovers: Evidence From the European Debt Crisis

Rabah Arezki

IMF Working Papers, 2011

View PDFchevron_right

Emerging Market Instability: Do Sovereign Ratings Affect Country Risk and Stock Returns

Graciela L Kaminsky

World Bank Economic Review, 2002

View PDFchevron_right

Sovereign credit ratings and financial markets linkages: Application to European data

Pedro Gomes

Journal of International Money and Finance, 2012

View PDFchevron_right

Do sovereign credit ratings influence regional stock and bond market interdependencies in emerging countries?

Eliza Wu

Journal of International Financial Markets, Institutions and Money, 2012

View PDFchevron_right

The effect of credit ratings on emerging market volatility

Muhamad Ridzuan

Journal of International Financial Markets, Institutions and Money, 2020

View PDFchevron_right

The impact of sovereign credit rating changes on financial market returns in Africa

Misheck Mutize

2018

View PDFchevron_right

Financial crises, credit ratings, and bank failures : emerging market instability - do sovereign ratings affect country risk and stock returns?

Graciela L Kaminsky

The World Bank Economic Review, 2002

View PDFchevron_right

Sovereign ratings and their impact on recent financial crises

Roman Kräussl

International Advances in Economic Research, 2001

View PDFchevron_right

Boom and Bust and Sovereign Ratings

Helmut Reisen

International Finance, 1999

View PDFchevron_right

Effects of Credit Rating Announcements on Risk Perception of Financial Markets in Emerging Countries

Umut Burak Geyikçi

International Journal of Business and Emerging Markets, 2023

View PDFchevron_right

Rating Skewness Spillovers in Equity and Currency Markets: Evidence from the Pacific Rim

Sirimon Treepongkaruna

CRC Press eBooks, 2010

View PDFchevron_right

Do Sovereign Credit Rating Announcements Influence Excess Bond and Equity Returns in Africa?

Sean Gossel, Misheck Mutize

View PDFchevron_right

Do Major Financial Crises Provide Information on Sovereign Risk to the Rest of the World? A Look at Credit Default Swap Markets

Gero Jung

SSRN Electronic Journal, 2005

View PDFchevron_right

The impacts of financial crisis on sovereign credit risk analysis in Asia and Europe

Tony Wirjanto

International Journal of Financial Engineering, 2015

View PDFchevron_right

Do Changes in Sovereign Credit Ratings Contribute to Financial Contagion in Emerging Market Crises?

Roman Kraeussl

SSRN Electronic Journal, 2000

View PDFchevron_right

Sovereign Credit Rating Determinants Under Financial Crises

Francisco Silva

SSRN Electronic Journal, 2017

View PDFchevron_right

Rating Skewness Spillovers in Equity and Currency Markets

Sirimon Treepongkaruna

Chapman & Hall/CRC Finance Series, 2009

View PDFchevron_right

Sovereign Credit Rating Changes and Its Impact on Financial Markets of Europe during Debt Crisis Period in Greece and Ireland

Abdullah Sahi

International Journal of Academic Research in Accounting, Finance and Management Sciences, 2017

View PDFchevron_right