对主权国内和外部债务违约的进一步审查

IF 3.8 3区 经济学 Q1 BUSINESS, FINANCE
Yaseen Ghulam
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引用次数: 0

摘要

在确定或预测跨地理集群的外部主权债务违约时,理论和实证研究通常忽略了政治、经济和金融因素之间的相互作用。此外,调查和预测国内债务违约的情况相对少见。本研究通过政治、金融和经济因素的相互作用,对不同地区主权国家的国内和外部债务违约进行了研究,并得出了广泛的结论,即国内和主权债务违约具有一些共同特征,尽管也存在显著的异质性。本研究结果对预测和管理主权国内和外部债务违约具有重要的政策意义。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
A further examination of sovereign domestic and external debt defaults
Theoretical and empirical studies have generally ignored interactions between political, economic and financial factors, in determining or predicting external sovereign debt defaults across geographic clusters. In addition, investigating and predicting defaults on domestic debt is relatively uncommon. This study looks into both domestic and external debt defaults of sovereign countries from diverse regions by interacting political, financial and economic factors and draws broad conclusions that domestic and sovereign debt defaults share some common features, although significant heterogeneities also exist. The findings of this study have significant policy implications in predicting and managing sovereign domestic and external debt defaults.
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来源期刊
CiteScore
7.30
自引率
8.30%
发文量
168
期刊介绍: The focus of the North-American Journal of Economics and Finance is on the economics of integration of goods, services, financial markets, at both regional and global levels with the role of economic policy in that process playing an important role. Both theoretical and empirical papers are welcome. Empirical and policy-related papers that rely on data and the experiences of countries outside North America are also welcome. Papers should offer concrete lessons about the ongoing process of globalization, or policy implications about how governments, domestic or international institutions, can improve the coordination of their activities. Empirical analysis should be capable of replication. Authors of accepted papers will be encouraged to supply data and computer programs.
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