Financial Liberalisation and International Trends in Stock, Corporate Bond and Foreign Exchange Market Volatilities:
This paper is one of four in this Working Paper series, focusing on financial liberalisation, along with those by Miller and Weller, Driscoll, and Blundell-Wignall and Browne. It examines the historical volatilities of stock, bond and foreign currency markets over alternative periods differing rough...
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Format: | Elektronisch E-Book |
Sprache: | English |
Veröffentlicht: |
Paris
OECD Publishing
1991
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Schriftenreihe: | OECD Economics Department Working Papers
no.94 |
Schlagworte: | |
Online-Zugang: | Volltext |
Zusammenfassung: | This paper is one of four in this Working Paper series, focusing on financial liberalisation, along with those by Miller and Weller, Driscoll, and Blundell-Wignall and Browne. It examines the historical volatilities of stock, bond and foreign currency markets over alternative periods differing roughly by the degree of financial innovation and globalisation. It characterises trends in gross volatility, and the degree and manner in which volatility in financial markets has changed, the real economic consequences of transitory periods of excess volatility, and discusses some of the financial policies proposed to limit volatility. The results suggest that the past two decades have coincided with a world-wide increase in the average levels of volatility in stock returns, corporate bond yields and exchange rates, accompanied by a general increase in the strength of the positive correlations among national stock returns and the conditional volatilities of these returns. Evidence suggests ... |
Beschreibung: | 1 Online-Ressource (60 p.) 21 x 29.7cm. |
DOI: | 10.1787/857153852435 |
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spelling | Kupiec, Paul VerfasserIn aut Financial Liberalisation and International Trends in Stock, Corporate Bond and Foreign Exchange Market Volatilities Paul, Kupiec Paris OECD Publishing 1991 1 Online-Ressource (60 p.) 21 x 29.7cm. Text txt rdacontent Computermedien c rdamedia Online-Ressource cr rdacarrier OECD Economics Department Working Papers no.94 This paper is one of four in this Working Paper series, focusing on financial liberalisation, along with those by Miller and Weller, Driscoll, and Blundell-Wignall and Browne. It examines the historical volatilities of stock, bond and foreign currency markets over alternative periods differing roughly by the degree of financial innovation and globalisation. It characterises trends in gross volatility, and the degree and manner in which volatility in financial markets has changed, the real economic consequences of transitory periods of excess volatility, and discusses some of the financial policies proposed to limit volatility. The results suggest that the past two decades have coincided with a world-wide increase in the average levels of volatility in stock returns, corporate bond yields and exchange rates, accompanied by a general increase in the strength of the positive correlations among national stock returns and the conditional volatilities of these returns. Evidence suggests ... Economics FWS01 ZDB-13-SOC FWS_PDA_SOC https://doi.org/10.1787/857153852435 Volltext |
spellingShingle | Kupiec, Paul Financial Liberalisation and International Trends in Stock, Corporate Bond and Foreign Exchange Market Volatilities Economics |
title | Financial Liberalisation and International Trends in Stock, Corporate Bond and Foreign Exchange Market Volatilities |
title_auth | Financial Liberalisation and International Trends in Stock, Corporate Bond and Foreign Exchange Market Volatilities |
title_exact_search | Financial Liberalisation and International Trends in Stock, Corporate Bond and Foreign Exchange Market Volatilities |
title_full | Financial Liberalisation and International Trends in Stock, Corporate Bond and Foreign Exchange Market Volatilities Paul, Kupiec |
title_fullStr | Financial Liberalisation and International Trends in Stock, Corporate Bond and Foreign Exchange Market Volatilities Paul, Kupiec |
title_full_unstemmed | Financial Liberalisation and International Trends in Stock, Corporate Bond and Foreign Exchange Market Volatilities Paul, Kupiec |
title_short | Financial Liberalisation and International Trends in Stock, Corporate Bond and Foreign Exchange Market Volatilities |
title_sort | financial liberalisation and international trends in stock corporate bond and foreign exchange market volatilities |
topic | Economics |
topic_facet | Economics |
url | https://doi.org/10.1787/857153852435 |
work_keys_str_mv | AT kupiecpaul financialliberalisationandinternationaltrendsinstockcorporatebondandforeignexchangemarketvolatilities |