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DOI10.1016/j.enpol.2019.111073
Oil market conditions and sovereign risk in MENA oil exporters and importers
Bouri E.; Kachacha I.; Roubaud D.
发表日期2020
ISSN0301-4215
卷号137
英文摘要We analyze for the first time how various levels of oil returns and oil volatility changes affect sovereign risk in static and time-varying settings. Empirical analyses involve daily data from February 14, 2011 to November 23, 2018 covering a sample of MENA oil-exporters and importers. The results from a quantile-based approach show that the sovereign risk of MENA oil-exporters and importers is directionally predicted by shocks in oil prices and oil volatility, especially during the oil crash of 2014–2016. Overall, the impact of oil returns and volatility changes occur in a very short time span, that is within one day lag, and the quantile specific reactions of sovereign risk spreads are time varying. The impact of oil returns is asymmetric across quantiles. The results hold when we control for stock market returns. The findings have implications for investors in terms of portfolio and risk management. Importantly, the findings are useful to policymakers for sovereign risk management decisions, the cost of sovereign borrowing, and the market timing of debt issuance. Finally, the findings matter to bankers given that central and domestic banks hold large amounts of sovereign debt, which makes banking systems particularly exposed to their own sovereign stress. © 2019 Elsevier Ltd
英文关键词Crude oil; Dynamic conditional correlation; MENA; Oil exporters and importers; Quantile dependence; Sovereign credit risk
学科领域Commerce; Crude oil; Risk assessment; Risk management; Credit risks; Dynamic conditional correlations; MENA; Oil exporters and importers; Quantile dependence; Investments; correlation; crude oil; debt; export; import; oil production; oil trade; sovereignty
语种英语
scopus关键词Commerce; Crude oil; Risk assessment; Risk management; Credit risks; Dynamic conditional correlations; MENA; Oil exporters and importers; Quantile dependence; Investments; correlation; crude oil; debt; export; import; oil production; oil trade; sovereignty
来源期刊Energy Policy
文献类型期刊论文
条目标识符http://gcip.llas.ac.cn/handle/2XKMVOVA/118237
作者单位USEK Business School, Holy Spirit University of Kaslik, Jounieh, Lebanon; Montpellier Business School, Montpellier, France
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GB/T 7714
Bouri E.,Kachacha I.,Roubaud D.. Oil market conditions and sovereign risk in MENA oil exporters and importers[J],2020,137.
APA Bouri E.,Kachacha I.,&Roubaud D..(2020).Oil market conditions and sovereign risk in MENA oil exporters and importers.Energy Policy,137.
MLA Bouri E.,et al."Oil market conditions and sovereign risk in MENA oil exporters and importers".Energy Policy 137(2020).
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