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The European financial market stress index

Corbet, Shaen (2014) The European financial market stress index. International Journal of Economics and Financial Issues, 4 (1). pp. 217-230. ISSN 2146-4138

Abstract
This research constructs and develops a financial stress index based on European financial markets. The integration of numerous sovereign states has created difficulty identifying stress in any one single financial component, but incorporating twenty-three headline European stress indicators across equities, bonds and currencies, in terms of both spreads and levels offer substantial explanatory benefits. The incorporation of a logistical framework specifically analysing the levels, volatility and co-movement of the included standardised series enables the creation of an index that adequately represents financial market stress in European. Using periods of pre-defined crisis in a logistic regression framework also aids the development of the index. The results provide evidence that the European-specific sovereign crises from 2010 to present, with particular emphasis on the mid-2011 period, have significantly over-shadowed any event that the financially-integrated Europe has previously experienced.
Metadata
Item Type:Article (Published)
Refereed:Yes
Uncontrolled Keywords:European financial crisis; financial market stress indicator; liquidity; stock markets.
Subjects:Business > Finance
DCU Faculties and Centres:UNSPECIFIED
Publisher:Econjournals
Official URL:http://www.econjournals.com/index.php/ijefi/articl...
Copyright Information:© 2014 Econjournals
Use License:This item is licensed under a Creative Commons Attribution-NonCommercial-Share Alike 3.0 License. View License
ID Code:21743
Deposited On:16 Mar 2017 10:36 by Thomas Murtagh . Last Modified 19 Jul 2018 15:10
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