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Essays on the euro zone sovereign debt crisis and financial markets

Title: Essays on the euro zone sovereign debt crisis and financial markets
Authors: Perego, Erica Rita
Contributors: UCL - SSH/IMMAQ/IRES - Institut de recherches économiques et sociales; UCL - Faculté des sciences économiques, sociales, politiques et de communication; Sneessens, Henri; Bodart, Vincent; Beine, Michel; Pensieroso, Luca; Pierrard, Olivier; Poilly, Celine
Publication Year: 2014
Collection: DIAL@USL-B (Université Saint-Louis, Bruxelles)
Description: This thesis analyses the euro zone sovereign crisis from a macroeconomic perspective with a focus on the interaction between sovereign risk, financial markets and the real economy at the euro area currency union-wide level. The first part consists of an empirical study on the euro zone asset markets. It computes and analyses the dynamic comovements of stock and sovereign bonds for the core and the periphery of the euro zone focusing on the geographical and asset dimension of the markets. This comprehensive approach allows shading new light on European financial markets with respect to studies that focus at only one dimension. Results suggest that further economic integration would be desirable but that, at the moment, Europe is a tale of two regions. The second part of the thesis consists of two chapters dealing with the modeling of the euro zone financial markets and the study of the international transmission of shocks. Chapter 3 focuses on the international transmission of sovereign debt default and looks at the spillover from the periphery to the core region via financial intermediaries. The study of the structure of the banking sector suggests the desirability of more banking integration for the euro area welfare. Chapter 4 expands the model of Chapter 3 by introducing international equity markets. This framework allows exploring the relation between financial intermediaries and asset markets for the euro zone. Results point to the key role of this interaction as a driver of the time varying stock-bond correlation. ; (ECGE - Sciences économiques et de gestion) -- UCL, 2014
Document Type: doctoral or postdoctoral thesis
Language: English
Relation: boreal:152849; http://hdl.handle.net/2078.1/152849
Availability: http://hdl.handle.net/2078.1/152849
Rights: info:eu-repo/semantics/openAccess
Accession Number: edsbas.B8E27353
Database: BASE