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Journal of Financial Economics, ISSN 0304-405X, 11/2019, Volume 134, Issue 2, pp. 447 - 473
We show significant US monetary policy (MP) spillovers to international bond markets. Our methodology identifies US MP shocks as the change in short-term... 
Term premia | Monetary policy spillovers | Risk-neutral rates | Monetary policy | Bond markets | Central banks | Emerging markets | Economic crisis
Journal Article
01/2013
This paper pertains to the bond market development in Malaysia, and provides an overview of the market scenario in the country. Malaysia has been successful in... 
TREASURIES | SECONDARY MARKET | INVESTMENT DECISIONS | TRUST FUND | BOND MARKET | IMPLICIT GOVERNMENT GUARANTEES | ISSUANCE | PRIVATE CREDIT | DEVELOPMENT OF DOMESTIC BOND | GOVERNMENT DEBT | PRINCIPAL ASSET | INCOME INSTRUMENTS | RESIDENTIAL MORTGAGE | LIABILITY | ISLAMIC CAPITAL | TRADING | FINANCIAL INSTITUTION | FOREIGN EXCHANGE | CREDIT LINE | EQUITY INVESTMENTS | ASSET BASE | MUTUAL FUND | CORPORATE DEFAULT | LIQUIDITY | INVESTING | MARKET SHARE | BALANCE SHEET | PUBLIC DEBT SECURITIES | CASH FLOWS | RISK AVERSION | RETAIL INVESTORS | INVESTOR BASE | MARKET SUPERVISION | BROKERS | INVESTMENT PORTFOLIO | ISSUANCE OF BONDS | LOCAL CURRENCY | DOMESTIC CREDIT RATING | T-BILLS | PORTFOLIO HOLDING | DEPOSITORY INSTITUTION | BACKED SECURITIES | ISLAMIC FINANCE | RISK MANAGEMENT | CORPORATE BOND | INSTITUTIONAL INVESTOR | SETTLEMENT | SECONDARY MARKETS | TYPE OF INVESTORS | GOVERNMENT BOND MARKET | INTERNATIONAL BANK | FIXED INCOME PORTFOLIOS | INVESTMENT OPPORTUNITIES | CREDIT RATING | FINANCIAL MARKET | PENSION FUND | BROKER | GOVERNANCE STANDARDS | TRADING VENUE | MORTGAGE LOANS | TAX DEDUCTIONS | ASSET CLASSES | BOND YIELD | GOVERNMENT BONDS | ILLIQUID SECURITIES | PENSION FUNDS | MARKET CAPITALIZATION | SECURITIES ISSUANCE | BOND ISSUANCE | EQUITY FUNDS | MARKET STRUCTURE | MONEY-MARKET | DEVELOPMENT BANK | MONEY MARKET | DEBT ISSUER | INVESTOR INTEREST | FINANCIAL ASSETS | SUKUK | INSURANCE | CORPORATE GOVERNANCE | MATURITY | LONG-TERM INVESTMENT | INVESTMENT OPPORTUNITY | RETURN | BOND INSTRUMENTS | DEFAULT RATE | INSURANCE INDUSTRY | RISK PROFILES | BID | BOND | PENSIONS | SAVINGS RATE | BOND MARKETS | INVESTMENTS IN EQUITIES | RETAIL INVESTOR | ACCESS TO CAPITAL | BOND TRADING | GOVERNMENT BOND | BOND ISSUES | FUND MANAGERS | COUPON | RESERVES | MONEY MARKET INSTRUMENTS | FIXED INCOME | EQUITY MARKET | BOND FUNDS | INSURANCE PRODUCTS | COLLATERAL | MARKET EFFICIENCY | LIQUIDITY PROBLEMS | MARKET MAKER | HIGH-YIELD DEBT | PENSION | FIXED INCOME INVESTMENTS | PROPERTY INVESTMENTS | EQUITY INSTRUMENTS | ASSET MANAGERS | CREDIT RISK | PRIVATE EQUITIES | CREDIT RATING AGENCIES | FINANCIAL SECTOR INTERMEDIARIES | GOVERNMENT INTERVENTIONS | DEBT INSTRUMENTS | TRUST FUNDS | TAX TREATMENT | DEPOSITORY INSTITUTIONS | PRIVATE DEBT | SECURITIES INDUSTRY | RISK PROFILE | MARKET LIQUIDITY | PRIMARY MARKET | REGULATORY FRAMEWORK | PRIVATE DEBT MARKET | TAX INCENTIVES | INFRASTRUCTURE DEVELOPMENT | DOMESTIC CREDIT | CAPITAL MARKET | DEFAULTS | BALANCE SHEETS | RETURNS | BOND MARKET DEVELOPMENT | ISLAMIC FINANCIAL INSTITUTIONS | FINANCIAL CRISIS | PRIVATE PLACEMENT | MUTUAL FUNDS | CORPORATE BONDS | LEVEL PLAYING FIELD | DEPOSITS | ASSET MANAGEMENT | BOND PRICE | EQUITY MARKETS | GOVERNMENT SECURITIES | DEBT SECURITIES MARKET | WITHDRAWAL | PRICE DISCOVERY | EXTERNAL CREDIT RATINGS | TAX INCENTIVE | FOREIGN INVESTOR | BOND INVESTMENTS | TRANCHES | OWNERSHIP STRUCTURE | TAX | FUND MANAGEMENT | DEBT MARKET | MARKET MAKERS | MARKET RISK | INSURANCE COMPANIES | DOMESTIC BANKS | LIFE INSURANCE | MUTUAL FUND MANAGERS | CORPORATE BOND MARKET | GOVERNMENT INTERVENTION | PUBLIC BANK | GOVERNMENT DEBT SECURITIES | TELECOMMUNICATIONS | VALUATION | INDIVIDUAL INVESTORS | ISLAMIC BOND | BOND MARKET ACCESS | ASSET CLASS | ISLAMIC CAPITAL MARKET | ISSUANCES | EMERGING MARKETS | FOREIGN INVESTORS | SETTLEMENT SYSTEM | HOUSING FINANCE | BANKING SYSTEM | FIXED INCOME MARKETS | RISK OF DEFAULT | BRANCH NETWORKS | CREDIT GUARANTEE | INSTITUTIONAL INVESTORS | CREDIT RISKS | MARKET INTERMEDIARIES | EMERGING MARKET | SOVEREIGN RISK | CONTINGENT LIABILITIES | FIXED INCOME MARKET | MARKET INFRASTRUCTURE | DEPOSITORY SYSTEMS | TRANSPARENCY | TREASURY | ACCESS TO INFORMATION | BANKING INSTITUTION | MARKET PARTICIPANTS | PUBLIC DEBT | FUTURE CASH FLOWS | PORTFOLIO | MONETARY FUND | SUBORDINATED BONDS | HOLDINGS | EQUITIES | BANKING SECTOR | TAX EXEMPTION | CAPITAL MARKETS | BANK BRANCHES | DEBTORS | DEBT SECURITIES | PARTIAL GUARANTEE | MARKET TRANSPARENCY | MUTUAL FUND INDUSTRY
Book
01/2017, EMCompass,no. 30
The financing needs of emerging markets are enormous. Sectors such as infrastructure, small business, and housing are vital to a nation’s sustainable... 
CURRENCY BOND MARKET | EXCHANGE RATE RISK | EMERGING MARKET ECONOMIES | BOND MARKET | RISK MITIGATION | CREDIT RISK | LIQUIDITY RISK
Book
Research in International Business and Finance, ISSN 0275-5319, 12/2019, Volume 50, pp. 398 - 415
This paper examines the impact of oil price innovations on emerging market sovereign total bond returns, as measured by the JP Morgan Emerging Market total... 
Oil-exporting countries | Bond returns | Sovereign | Oil-importing countries | Oil price shocks | BUSINESS, FINANCE | IMPACT | OIL | MACROECONOMY | SHOCKS | Financial markets | International finance | Bonds | Emerging markets
Journal Article
Journal of Banking and Finance, ISSN 0378-4266, 02/2018, Volume 87, pp. 216 - 232
We investigate the nascent but fast-growing Chinese bond market and credit rating industry. We find Chinese bond ratings are informative and significantly... 
Credit rating | Bond yield | Emerging market | BUSINESS, FINANCE | ECONOMICS | DEBT
Journal Article
Financial Analysts Journal, ISSN 0015-198X, 7/2012, Volume 68, Issue 4, pp. 73 - 93
In this article, the authors assess local currency bond markets in emerging market economies (EMEs). Supported by policies and laws that helped improve... 
Government bonds | Bond markets | Investors | Corporate bonds | Emerging markets | Currency | FIXED INCOME | Financial portfolios | Skewed distribution | Gross domestic product | Financial investments | BUSINESS, FINANCE | PORTFOLIO | Economic policy | Laws, regulations and rules | Credit market | Bonds | Analysis | Studies | Macroeconomics
Journal Article
International Review of Economics and Finance, ISSN 1059-0560, 07/2018, Volume 56, pp. 178 - 189
Corporate bond markets may suffer from investors’ lack of competence in screening out low-quality issuers. We use data from the Israeli capital market in... 
Corporate bonds | Emerging market | Debt composition | Credit rating | Institutional investors | BANK DEBT | REPUTATION | DETERMINANTS | BANKRUPTCY | FINANCIAL INTERMEDIATION | PREDICTION | CHOICE | BUSINESS, FINANCE | CAPITAL STRUCTURE | RATING ANNOUNCEMENTS | ECONOMICS | EQUITY | Institutional investments | Investments | Emerging markets | Credit ratings | Financial institutions | Credit market
Journal Article
2013, ISBN 9781484315347, xiii, 229
China has reached a stage where further financial sector reforms appear essential. As the reform process progresses and macrofinancial linkages deepen, the... 
Banks and banking | Macroeconomics | China Economic policy | Economic development | Finance | Economic stabilization
Book
International Review of Economics and Finance, ISSN 1059-0560, 01/2018, Volume 53, pp. 25 - 38
This study explores the co-movement between equity and bond markets and decomposes it into the equity-bond, equity, and bond co-movements. Moreover, the... 
Market integration | International market | Equity-bond co-movement | Market uncertainty | Flight-to-quality | DETERMINANTS | BUSINESS CYCLES | EUROPEAN BOND | STOCK | BUSINESS, FINANCE | EXPECTED RETURNS | INTEGRATION | RETURN COMOVEMENTS | DYNAMICS | EMERGING MARKETS | ECONOMICS | VOLATILITY | Hedging (Finance) | Business schools | Credit market | Bonds
Journal Article
Journal Article
2012, ISBN 1616353813, xx, 328
Emerging Europe was particularly hard hit by the global financial crisis, but a concerted effort by local policymakers and the international community staved... 
Parex | Global Financial Crisis | Credit Boom | Boom-bust | Domestic-demand Boom | External Imbalances | Vulnerabilities | Emerging Europe | Absorption Boom | Overheating
Book
Emerging Markets Review, ISSN 1566-0141, 03/2017, Volume 30, pp. 232 - 255
We investigate correlation dynamics and diversification properties of US dollar-denominated debt issued by governments of frontier markets. Our analysis is on... 
Diversification | Bonds | Frontier markets | Emerging markets | INTERNATIONAL STOCK | BUSINESS, FINANCE | INTEGRATION | DYNAMICS | ECONOMICS | Financial management | Credit market
Journal Article
FINANCIAL MANAGEMENT, ISSN 0046-3892, 12/2018, Volume 47, Issue 4, pp. 865 - 909
We examine the relation between a firm's equity R-2 and the pricing and design of its debt securities. We find that firms with less synchronous stock returns... 
BUSINESS, FINANCE | INTERNATIONAL EVIDENCE | PRICE INFORMATIVENESS | INSTITUTIONAL INVESTORS | IDIOSYNCRATIC RISK | YIELD SPREADS | EMERGING MARKETS | CALLABLE BONDS | STOCK RETURN SYNCHRONICITY | DEBT MATURITY STRUCTURE | LIQUIDITY RISK
Journal Article
Emerging Markets Review, ISSN 1566-0141, 12/2018, Volume 37, pp. 1 - 16
The paper examines the financial connectedness via return and volatility spillovers between Brazil, Russia, India, China and South Africa (BRICS) and three... 
BRICS | Vector autoregression | Market linkages | Volatility spillover | Emerging markets | Variance decomposition | Sovereign bond markets | Hedging (Finance) | Business schools | Medium term notes | Bonds | Strategic planning (Business) | Credit market | Interest rates
Journal Article
Emerging Markets Review, ISSN 1566-0141, 03/2019, Volume 38, pp. 347 - 363
The paper investigates the international integration of EM sovereign dollar-denominated and local-currency bond markets. Factor analysis is used to examine... 
Bond markets | Financial globalization | Factor analysis | Capital flows | Debt denomination | Emerging markets | Safe assets | CURRENCY | YIELDS | DETERMINANTS | MONETARY-POLICY | SPREADS | BUSINESS, FINANCE | TRANSMISSION | ECONOMIES | ECONOMICS | Credit market | Bonds | Interest rates
Journal Article
Physica A: Statistical Mechanics and its Applications, ISSN 0378-4371, 09/2018, Volume 505, pp. 632 - 647
Bonds have become an important part of investment portfolios for individuals as well as for institutions, particularly after the recent financial crisis. This... 
Adaptive market hypothesis | GARCH-M | Time-varying | Bond market | Market efficiency | Long memory | State-space model | LOCAL WHITTLE ESTIMATION | SERIES | PHYSICS, MULTIDISCIPLINARY | INFORMATIONAL EFFICIENCY | STOCK | EVOLUTION | MEMORY | HYPOTHESIS | UNIT-ROOT | VOLATILITY | Credit market | Bonds | Emerging markets
Journal Article
EMERGING MARKETS REVIEW, ISSN 1566-0141, 12/2018, Volume 37, pp. 1 - 16
The paper examines the financial connectedness via return and volatility spillovers between Brazil, Russia, India, China and South Africa (BRICS) and three... 
BRICS | Vector autoregression | CO-MOVEMENTS | DETERMINANTS | Emerging markets | CONTAGION | Variance decomposition | Sovereign bond markets | STOCK | BUSINESS, FINANCE | EXPECTED RETURNS | OIL | INTEGRATION | Market linkages | Volatility spillover | CRISIS | VOLATILITY SPILLOVERS | ECONOMICS | EQUITY
Journal Article
2010, ISBN 9781589069275, xxi, 306
The book covers a wide range of topics of relevance to policymakers in countries that have sovereign wealth funds (SWFs) and those that receive SWF... 
Book
2005, ISBN 9781589064706, ix, 229
This book provides a comprehensive review of recent economic developments in South Africa and the structural and policy challenges facing the authorities.... 
Book