新兴市场金融危机背后的隐患

Shiyuan Yang
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引用次数: 0

摘要

在金融一体化背景下,金融危机的外溢效应逐渐从区域向全球扩散。此外,新冠肺炎疫情加剧了社会和经济的两极分化。在一般的风险管理研究中,新兴市场中债务违约风险高的国家更容易受到金融危机的冲击。本文以阿根廷和土耳其为例,发现主权货币走强是导致新兴市场频繁面临金融风险的根本原因。据此,作者提出了后疫情时代控制风险的建议。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Hidden Danger Behind Financial Crisis in Emerging Markets
Under the circumstance of financial integration, the spillover effect of financial crisis has gradually evolved from regions to worldwide. Plus, the outbreak of Covid-19 has accelerated the social and economic polarization. In general risk management research, countries with high debt defaulting risk were more likely to be attacked by financial crisis among emerging markets. Taking Argentina and Turkey as examples, this paper uncovered that sovereign currency strength is the original cause that drives emerging markets frequently exposed to financial risk. Accordingly the author puts forward suggestions to contain the risks in post epidemic era.
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