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Bond Markets and Financial Stability: Evidence from the Asian Experience

机译:债券市场与金融稳定:来自亚洲经验的证据

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摘要

Since the advent of the financial crisis of 1997-98, the development of bond markets in Asia is the center of interest of the governments of the region. This effort reflects the prevalent view recently emphasized the importance of domestic bond markets in the prevention of financial fragility in an open capital flows context. The aim of this article is to investigate about the nature and mechanisms of the links between the development of bond markets and financial stability. The analysis focuses on the experience of nine Asian countries over the period 1997 - 2009. The tests cover specific aspects of the development of a bond market hand, and financial stability indicators of capital adequacy, asset quality and profitability in the other hand. The empirical study reveals a significant role of the domestic bond markets in reducing financial vulnerability of the region.
机译:自1997-98年金融危机爆发以来,亚洲债券市场的发展一直是该地区政府的关注中心。这种努力反映了最近流行的观点,即在开放资本流动的背景下,国内债券市场对于防止金融脆弱性的重要性。本文旨在研究债券市场发展与金融稳定之间联系的性质和机制。该分析着重于1997年至2009年这9个亚洲国家的经验。测试涵盖了债券市场方面的发展的特定方面,另一方面涵盖了资本充足率,资产质量和盈利能力的金融稳定性指标。实证研究揭示了国内债券市场在减少该地区金融脆弱性方面的重要作用。

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