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Bond Markets As Conduits for Capital Flows : How Does Asia Compare? / Pipat Luengnaruemitchai, Barry Eichengreen.

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Format:
Book
Government document
Author/Creator:
Luengnaruemitchai, Pipat.
Contributor:
Eichengreen, Barry J.
Series:
IMF Working Papers; Working Paper ; No. 2006/238
IMF Working Papers
Language:
English
Subjects (All):
Investments, Foreign--Asia--Mathematical models.
Investments, Foreign.
Capital movements--Asia.
Capital movements.
Physical Description:
1 online resource (44 p.)
Edition:
1st ed.
Place of Publication:
Washington, D.C. : International Monetary Fund, 2006.
Language Note:
English
Summary:
We use data on the extent to which residents of one country hold the bonds of issuers resident in another as a measure of financial integration or interrelatedness, asking how Asia compares with Europe and Latin America and with the base case in which the purchaser and issuer of the bonds reside in different regions. Not surprisingly, we find that Europe is more financially integrated than other regions. Asia, more interestingly, already seems to have made more progress on this front than Latin America and other parts of the world. The contrast with Latin America is largely explained by stronger creditor and investor rights, better contract enforcement, and greater transparency, all of which are conducive to foreign participation in local markets and to intraregional cross holdings of Asian bonds generally. Further results based on a limited sample suggest that one factor holding back investment in foreign bonds in East Asia may be limited geographical diversification by mutual funds, in turn reflecting a dearth of appropriate assets. Asian Bond Fund 2, by creating a passively managed portfolio of local currency bonds potentially attractive to mutual fund managers and investors, may help to relax this constraint.
Contents:
""Contents""; ""I. INTRODUCTION""; ""II. REVIEW OF PREVIOUS STUDIES""; ""III. DATA AND SPECIFICATION""; ""IV. BASIC RESULTS""; ""V. SENSITIVITY CHECKS""; ""VI. CONNECTIONS WITH OTHER ASPECTS OF FINANCIAL DEVELOPMENT""; ""VII. THE COMPOSITION OF THE INVESTOR BASE""; ""VIII. CONCLUSIONS AND POLICY IMPLICATIONS""; ""References""
Notes:
"October 2006".
Includes bibliographical references.
Description based on print version record.
ISBN:
9786613830401
9781462391165
1462391168
9781452745091
1452745099
9781283517959
1283517957
9781451909517
1451909519
OCLC:
698585641

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