Bitte verwenden Sie diesen Link, um diese Publikation zu zitieren, oder auf sie als Internetquelle zu verweisen: https://hdl.handle.net/10419/200466 
Erscheinungsjahr: 
2018
Schriftenreihe/Nr.: 
Bank of Canada Staff Discussion Paper No. 2018-13
Verlag: 
Bank of Canada, Ottawa
Zusammenfassung: 
This paper introduces a new tool to monitor economic and financial vulnerabilities in emerging-market economies. We obtain vulnerability indexes for several early warning indicators covering 26 emerging markets from 1990 to 2017 and use them to monitor the evolution of vulnerabilities before, during and after an economic or financial crisis. We find that different historical episodes of crises reflect different vulnerabilities in terms of their composition, buildup and responses. Nevertheless, most currency crises are generally preceded by a buildup of imbalances in the external sector followed by an increase in sovereign debt imbalances. Finally, we assess current EME vulnerabilities in our country sample and visualize them using a heat map.
Schlagwörter: 
International topics
Monetary and financial indicators
Recent economic and financial developments
JEL: 
C82
F34
G01
G15
Persistent Identifier der Erstveröffentlichung: 
Dokumentart: 
Working Paper
Erscheint in der Sammlung:

Datei(en):
Datei
Größe
744.56 kB





Publikationen in EconStor sind urheberrechtlich geschützt.