Selective Swap Arrangements and the Global Financial Crisis: Analysis and Interpretation
Joshua Aizenman, Gurnain Kaur Pasricha
National Bureau of Economic Research University of California, Santa Cruz International Paper (United States) Ecolab (United States)
阅读操作
确认中在文库中上传 PDF 后可生成中文音频讲解。
摘要与影响
The onset of the US credit crisis in 2008, and its rapid globalization induced the FED to extend unprecedented swap-lines of 30 billion dollars to four emerging markets, and the proliferation of other cross-countries selective swap arrangements.This paper explores the logic for these arrangements, focusing on the degree to which financial and trade linkages, financial openness and credit risk history account for discerning the formation of swap arrangements to EMs.We also study the impact of the formation of these credit lines on the exchange rate and the financial spreads of the relevant countries.We find that exposure of US banks to EMs is the most important selection criterion for explaining the "selected four" swap-lines.This result is consistent with the outlined model, where we show that in circumstances of unanticipated deleveraging, emergency swap-lines may prevent or mitigate costly liquidation today, allowing investment projects to reach maturity and providing positive option value to both the source and the recipient countries.The FED swap-lines had relatively large short-run impact on the exchange rates of the selected EMs, but much smaller effect on the spreads (measured relative to that of other EMs that were not the recipients of swap-lines).Specifically, non-swap countries saw an average depreciation of 0.15% on the day after swap announcement, but swap countries saw their exchange rate appreciate on average, by about 4%.Yet, all the swap countries saw their exchange rate subsequently depreciate to a level lower than pre-swap rate, calling into question the long-run impact of the arrangements.
逐年被引趋势
关键指标
同类平均 = 1
同领域 · 同年份 · 同类型
Google Scholar 与 OpenAlex 的被引统计范围不同,数值存在差异属正常。
AI 辅助阅读
依据:摘要
可就本文提问;依据不足时会说明。
学术脉络
学科主题
经济 / 管理Banking stability, regulation, efficiency
Global Financial Crisis and Policies
参考文献 10
此处列出前 3 条
引用本文 48
按被引量排序,此处列出前 3 条