دانلود مقاله ISI انگلیسی شماره 109389
ترجمه فارسی عنوان مقاله

عوامل تعیین کننده رتبه بندی اعتباری: مقایسه قبل و بعد از بحران بدهی اروپا

عنوان انگلیسی
Sovereign credit rating determinants: A comparison before and after the European debt crisis
کد مقاله سال انتشار تعداد صفحات مقاله انگلیسی
109389 2017 31 صفحه PDF
منبع

Publisher : Elsevier - Science Direct (الزویر - ساینس دایرکت)

Journal : Journal of Banking & Finance, Volume 77, April 2017, Pages 108-121

پیش نمایش مقاله
پیش نمایش مقاله  عوامل تعیین کننده رتبه بندی اعتباری: مقایسه قبل و بعد از بحران بدهی اروپا

چکیده انگلیسی

This paper compares the importance of different sovereign credit rating determinants over time, using a sample of 90 countries for the years 2002–2015. Applying the composite marginal likelihood approach, we estimate a multi-year ordered probit model for each of the three major credit rating agencies. After the start of the European debt crisis in 2009, the importance of the financial balance, the economic development and the external debt increased substantially and the effect of eurozone membership switched from positive to negative. In addition, GDP growth gained a lot of importance for highly indebted sovereigns and government debt became much more important for countries with a low GDP growth rate. These findings provide empirical evidence that the credit rating agencies changed their sovereign credit rating assessment after the start of the European debt crisis.