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Subject: Economics and Finance  Book Title: Emerging Markets and Financial Globalization
Emerging Markets and Financial Globalization Emerging Markets and Financial Globalization
Sovereign Bond Spreads in 1870-1913 and Today
Mauro, Paolo, International Monetary Fund
Sussman, Nathan, The Hebrew University
Yafeh, Yishay, The Hebrew University
Print publication date: 2006
Published to Oxford Scholarship Online: May 2006
Print ISBN-13: 978-0-19-927269-3
doi:10.1093/0199272697.001.0001


 
Abstract: This book provides the first comparative analysis of the determinants of sovereign bond spreads in the first era of financial globalization and bond finance (1870-1913) and today (1994-2002). Drawing on a newly-collected data set on bond yields, macroeconomic variables, and news of various categories for a panel of emerging markets, it is shown that news about wars or episodes of politically-motivated violence are significant and robust determinants of spreads; fiscal variables also play a role. In contrast, news about institutional reforms seldom have a rapid and significant impact. There are also important differences between the two eras: country-specific fundamentals accounted for a greater share of variation in spreads during the pre-WWI period than they do today. Crises shared by more than one country are common now, but were rare in the past. The mechanisms for addressing sovereign defaults in the previous era of globalization are discussed and some lessons for today are drawn.

Keywords: emerging markets, financial globalization, bond yields, international capital flows
Table of Contents
Preface
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1. International Capital Flows in the Previous Era of Globalization: An Overview and Outline of the Book and its Objectives
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2. The London Market for Sovereign Debt, 1870–1913 versus Today's Markets
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3. The Determinants of the Cost of Capital: Case Study Evidence
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4. News and Sharp Changes in Bond Spreads
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5. Spreads, News, and Macroeconomics: A Multivariate Regression Analysis
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6. Co-movement of Spreads: Fundamentals or Investor Behavior?
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7. Sovereign Defaults and the Corporation of Foreign Bondholders
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8. A Few Lessons for the Future
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Appendix
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Bibliography
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Index
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doi:10.1093/0199272697.001.0001



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