دانلود مقاله ISI انگلیسی شماره 42289
ترجمه فارسی عنوان مقاله

وابستگی بازار مالی اروپا: تجزیه و تحلیل صنعت

عنوان انگلیسی
European financial market dependence: An industry analysis
کد مقاله سال انتشار تعداد صفحات مقاله انگلیسی
42289 2015 18 صفحه PDF
منبع

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

Journal : Journal of Banking & Finance, Volume 59, October 2015, Pages 146–163

ترجمه کلمات کلیدی
یورو - امور مالی بین المللی - بازارهای مالی - وابستگی - مفصل - GARCH
کلمات کلیدی انگلیسی
F3; F4; G1Euro; International finance; Financial markets; Dependence; Copula; GARCH
پیش نمایش مقاله
پیش نمایش مقاله  وابستگی بازار مالی اروپا: تجزیه و تحلیل صنعت

چکیده انگلیسی

This paper uses a copula model to investigate the degree and determinants of European market dependence across 10 industries in 12 Euro zone and 8 non-Euro zone stock markets during the period 1992–2011. Most of the industries in Euro countries show a dependence increase with the Euro-area after the introduction of the Euro. The effects are strongest in countries with larger market capitalization and in the Financials, Industrials, Consumer Goods, Utilities, Technology and Telecommunications industries. Overall, the export intensity, interest rate sensitivity and competitiveness of an industry and the financial development and economic openness of a country are the most important determinants of changes in equity market dependence. The period around the Lehman collapse also shows higher equity market dependence between European countries, while the lower dependence increase during the period of the recent European sovereign debt crisis suggests that country-specific factors may matter more than before.