Financial market integration and macroeconomic volatility

被引:64
|
作者
Sutherland, A
机构
[1] University of York, Heslington
来源
SCANDINAVIAN JOURNAL OF ECONOMICS | 1996年 / 98卷 / 04期
关键词
D O I
10.2307/3440882
中图分类号
F [经济];
学科分类号
02 ;
摘要
The process of financial market integration is modelled in an intertemporal general equilibrium framework as the elimination of trading frictions between financial markets in different countries. Goods markets are assumed to be imperfectly competitive and goods prices are subject to sluggish adjustment. Simulation experiments show that increasing financial market integration increases the volatility of a number of variables when shocks originate from the money market, but decreases the volatility of most variables when shocks originate from real demand or supply.
引用
收藏
页码:521 / 539
页数:19
相关论文
共 50 条
  • [41] The effect of macroeconomic announcements on stock market return and volatility
    Zhang L.
    Zhang J.
    Wang Q.
    Xitong Gongcheng Lilun yu Shijian/System Engineering Theory and Practice, 2020, 40 (06): : 1439 - 1451
  • [42] Breaks and persistency: macroeconomic causes of stock market volatility
    Beltratti, A
    Morana, C
    JOURNAL OF ECONOMETRICS, 2006, 131 (1-2) : 151 - 177
  • [43] Stock market and macroeconomic volatility comparison: an US approach
    Kaya Tokmakcioglu
    Oktay Tas
    Quality & Quantity, 2014, 48 : 217 - 224
  • [44] Changes in macroeconomic policies and volatility of Chinese stock market
    Chen, Qi'an
    Fang, Pengyu
    Zhang, Yuan
    Journal of Software, 2012, 7 (10) : 2229 - 2235
  • [45] On financial contagion and implied market volatility
    Kenourgios, Dimitris
    INTERNATIONAL REVIEW OF FINANCIAL ANALYSIS, 2014, 34 : 21 - 30
  • [46] The economics of the financial market for volatility trading
    Ruan, Xinfeng
    Zhang, Jin E.
    JOURNAL OF FINANCIAL MARKETS, 2021, 52
  • [47] Financial uncertainty and stock market volatility
    Jiang, Ying
    Liu, Xiaoquan
    Lu, Zhenyu
    EUROPEAN FINANCIAL MANAGEMENT, 2024, 30 (03) : 1618 - 1667
  • [48] Investor Sentiment and Financial Market Volatility
    Shu, Hui-Chu
    Chang, Jung-Hsien
    JOURNAL OF BEHAVIORAL FINANCE, 2015, 16 (03) : 206 - 219
  • [49] CAUSES OF CHANGING FINANCIAL MARKET VOLATILITY
    SHILLER, RJ
    FINANCIAL MARKET VOLATILITY, 1988, : 1 - 22
  • [50] Financial integration, housing, and economic volatility
    Loutskina, Elena
    Strahan, Philip E.
    JOURNAL OF FINANCIAL ECONOMICS, 2015, 115 (01) : 25 - 41