The Impact of Sovereign Credit Rating Changes on Emerging Stock Markets.
This study investigate the impact of sovereign rating change in emerging markets by using 42 sample counties over the period Jan. 1999 to Aug. 2008. The concurrent relationship between sovereign rating changes and the associated stock market spread can be established: the spreads tend to rise (fall)...
| Main Author: | Yin, Weiguo |
|---|---|
| Format: | Dissertation (University of Nottingham only) |
| Language: | English |
| Published: |
2008
|
| Online Access: | https://eprints.nottingham.ac.uk/22478/ |
Similar Items
The Impact of Sovereign Credit Rating Changes on Emerging Stock Markets
by: YIN, WEIGUO
Published: (2008)
by: YIN, WEIGUO
Published: (2008)
Economic impact of sovereign debt credit rating revision
by: Pour, Reza Tahmoores
Published: (2017)
by: Pour, Reza Tahmoores
Published: (2017)
Macroeconomics determinants of sovereign credit ratings
by: Soh, Wei Chee, et al.
Published: (2015)
by: Soh, Wei Chee, et al.
Published: (2015)
Macroeconomic determinants of sovereign credit ratings and rating changes, and bond yields respond to rating changes
by: Soh, Wei Chee
Published: (2014)
by: Soh, Wei Chee
Published: (2014)
Impact of Credit Rating Changes on the Malaysian Stock Market
by: Abdul Rashid, Hafidz Rizal
Published: (2010)
by: Abdul Rashid, Hafidz Rizal
Published: (2010)
Sovereign credit ratings: reframing the orthodox paradigm
by: Choy, Swee Yew
Published: (2021)
by: Choy, Swee Yew
Published: (2021)
The role of sovereign credit ratings in fiscal discipline
by: Duygun, Meryem, et al.
Published: (2016)
by: Duygun, Meryem, et al.
Published: (2016)
Effect of sovereign rating changes on bond market returns
by: Cheng, Fan Fah, et al.
Published: (2014)
by: Cheng, Fan Fah, et al.
Published: (2014)
Sovereign credit risk spillover
by: Xie, Hui
Published: (2014)
by: Xie, Hui
Published: (2014)
Rating the United Kingdom: the British government’s sovereign credit ratings, 1976-1978
by: Gill, David James
Published: (2015)
by: Gill, David James
Published: (2015)
Fiscal uncertainty and sovereign credit risk
by: Hantzsche, Arno
Published: (2018)
by: Hantzsche, Arno
Published: (2018)
How Credit Rating Changes Impact on UK Stock Returns.
by: TSIANAKAS, KONSTANTINOS / KT
Published: (2017)
by: TSIANAKAS, KONSTANTINOS / KT
Published: (2017)
The Effect of Credit Rating Changes on Common Stock Return-Evidence from the UK Market
by: Wang, Xueying
Published: (2019)
by: Wang, Xueying
Published: (2019)
Corporate governance and credit rating : evidence from an emerging market
by: Yang, Ling, et al.
Published: (2013)
by: Yang, Ling, et al.
Published: (2013)
Corporate market responsibility for orderly financial markets: systemic risk and regulation following Citigroup, sovereign funds, and the credit crunch
by: Gomes, Rafael A.R. Pereira
Published: (2011)
by: Gomes, Rafael A.R. Pereira
Published: (2011)
The effect of corporate credit rating changes on UK common stock returns
by: Zhang, Huizhong
Published: (2020)
by: Zhang, Huizhong
Published: (2020)
Momentum and nonlinear price discovery in sovereign credit risk and equity markets of the organization of Islamic cooperation (OIC) countries
by: Ngene, Geoffrey, et al.
Published: (2012)
by: Ngene, Geoffrey, et al.
Published: (2012)
Unveiling the Mask of Sovereign Default
by: Tan, Zhao Tong, et al.
Published: (2017)
by: Tan, Zhao Tong, et al.
Published: (2017)
Handbook of Asian sovereign bond markets: yield & risk
by: Syed Mohamed, Mohamed Ariff, et al.
Published: (2013)
by: Syed Mohamed, Mohamed Ariff, et al.
Published: (2013)
'Bank systemic risk: An analysis of the sovereign rating ceiling policy and rating downgrades
by: Md Abdul, Wasi, et al.
Published: (2022)
by: Md Abdul, Wasi, et al.
Published: (2022)
The Effects of Credit Rating Announcements on Stock Return in Malaysia
by: Husin, Norsuhaida
Published: (2010)
by: Husin, Norsuhaida
Published: (2010)
The co-movement between exchange rates and stock prices
in an emerging market
by: Syajarul Imna Mohd Amin,, et al.
Published: (2016)
by: Syajarul Imna Mohd Amin,, et al.
Published: (2016)
The Impact of Rating Announcement in Indonesia Stock Market
by: Pratama, Anzas Rustamaji
Published: (2017)
by: Pratama, Anzas Rustamaji
Published: (2017)
Essays on sovereign debt
by: Wang, Zilong
Published: (2016)
by: Wang, Zilong
Published: (2016)
DETERMINANTS OF SOVEREIGN CREDIT DEFAULT SWAP (CDS) SPREAD: A CASE STUDY OF INDONESIA 2005-2015
by: AGUSTINA, ARININGTYAS WIDYASNIA
Published: (2015)
by: AGUSTINA, ARININGTYAS WIDYASNIA
Published: (2015)
The Crisis in the Emerging Markets - Impact of the Subprime Crisis on the Indian Stock Markets
by: Bhammer, Harsh
Published: (2009)
by: Bhammer, Harsh
Published: (2009)
An Empirical Study of the Determinants of Sovereign Ratings : Evidence in ASEAN-5 Countries
by: Kurmanbayev, Saken
Published: (2013)
by: Kurmanbayev, Saken
Published: (2013)
The impact of credit ratings on firms’ capital structure decisions in periods both with adverse and favorable credit market conditions
by: Karvounidis, Anastasios / AK
Published: (2017)
by: Karvounidis, Anastasios / AK
Published: (2017)
Default resolution and access to fresh credit in an emerging market
by: Hussain, Inayat, et al.
Published: (2016)
by: Hussain, Inayat, et al.
Published: (2016)
Credit Markets in an Emerging Economy: Evidence from Pakistan
by: Hussain, Inayat
Published: (2017)
by: Hussain, Inayat
Published: (2017)
The Impact of the Interest Rate Change on Bank Stock Returns
by: WANG, NIANXUAN
Published: (2012)
by: WANG, NIANXUAN
Published: (2012)
Relationship between stock market returns and exchangerates in emerging stock markets
by: Arshad, M. N., et al.
Published: (2016)
by: Arshad, M. N., et al.
Published: (2016)
Crude oil price, exchange rate and emerging stock market: evidence from India
by: Sahu, Tarak Nath, et al.
Published: (2014)
by: Sahu, Tarak Nath, et al.
Published: (2014)
The Impact of Accounting Earnings Disclosures on Stock Prices in Malaysia: An Emerging Market
by: Cheng, Fan Fah
Published: (2000)
by: Cheng, Fan Fah
Published: (2000)
Impact of exchange rate and oil price on the yield of sovereign bond and sukuk: Evidence from Malaysian capital market / Huda Arshad, Ruhaini Muda and Ismah Osman
by: Arshad, Huda, et al.
Published: (2017)
by: Arshad, Huda, et al.
Published: (2017)
Southeast Asian Sovereign Wealth Funds: Tracking the Internationalization Path of Companies Piloting an Emerging Region
by: Tan, Jonathan Thiam Lye
Published: (2013)
by: Tan, Jonathan Thiam Lye
Published: (2013)
Limited loan rate differentiation, guanxi, loan size and loan maturity in the Chinese bank credit market
by: Matthews, Kent, et al.
Published: (2020)
by: Matthews, Kent, et al.
Published: (2020)
Relative forecasting performance of stock return for real activity in emerging markets of ASEAN countries
by: Lim, Yin Ping
Published: (2012)
by: Lim, Yin Ping
Published: (2012)
An Investigation on The Behaviour of Stock Returns in Emerging Markets
by: Chen, Yao
Published: (2011)
by: Chen, Yao
Published: (2011)
Is Kuala Lumpur Stock Exchange an Emerging Market?
by: Narayanan, Subramani
Published: (1997)
by: Narayanan, Subramani
Published: (1997)
Similar Items
-
The Impact of Sovereign Credit Rating Changes on Emerging Stock Markets
by: YIN, WEIGUO
Published: (2008) -
Economic impact of sovereign debt credit rating revision
by: Pour, Reza Tahmoores
Published: (2017) -
Macroeconomics determinants of sovereign credit ratings
by: Soh, Wei Chee, et al.
Published: (2015) -
Macroeconomic determinants of sovereign credit ratings and rating changes, and bond yields respond to rating changes
by: Soh, Wei Chee
Published: (2014) -
Impact of Credit Rating Changes on the Malaysian Stock Market
by: Abdul Rashid, Hafidz Rizal
Published: (2010)