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dc.contributor.authorCorzo Santamaría, María Teresaes-ES
dc.contributor.authorCoronado Vaca, Maríaes-ES
dc.contributor.authorLazcano Benito, Laura Inéses-ES
dc.date.accessioned2024-12-10T11:29:42Z-
dc.date.available2024-12-10T11:29:42Z-
dc.date.issued2012-10-30es_ES
dc.identifier.issn1814-2044es_ES
dc.identifier.urihttp://hdl.handle.net/11531/96680-
dc.descriptionArtículos en revistases_ES
dc.description.abstract.es-ES
dc.description.abstractIn 2010 we witnessed a major European sovereign debt crisis. By examining the links between sovereign Credit Default Swaps and stock indexes for eight European countries during the period 2007-2010, this paper studies the lead-lag relationships of the two markets which represent a country's credit and market risk. Through the use of a Vector Autoregressive model and a panel data model we find that the stock market plays a leading role during the sample period, but when 2010 is isolated a change in this relationship appears: a key role of sovereign CDS markets – the incorporation of new information emerges. This phenomenon is most significant in countries with high risk spread.en-GB
dc.format.mimetypeapplication/pdfes_ES
dc.language.isoen-GBes_ES
dc.rightsCreative Commons Reconocimiento-NoComercial-SinObraDerivada Españaes_ES
dc.rights.urihttp://creativecommons.org/licenses/by-nc-nd/3.0/es/es_ES
dc.sourceRevista: Frontiers in Finance and Economics, Periodo: 6, Volumen: 9, Número: 2, Página inicial: 32, Página final: 63es_ES
dc.titleA case for Europe: the relationship between sovereign CDS and stock indexeses_ES
dc.typeinfo:eu-repo/semantics/articlees_ES
dc.description.versioninfo:eu-repo/semantics/publishedVersiones_ES
dc.rights.holderes_ES
dc.rights.accessRightsinfo:eu-repo/semantics/openAccesses_ES
dc.keywords.es-ES
dc.keywordssovereign credit risk, sovereign credit derivatives, stock markets, lead-lag relationshipsen-GB
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