Response of Africa to global sovereign bond volatility spillover

Author:

Emenike Kalu O.ORCID

Publisher

Springer Science and Business Media LLC

Subject

General Medicine

Reference32 articles.

1. Allen K (2018) African debt markets thrive as investors hunt for yield. https://www.ft.com/content/6e71b16a-17df-11e8-9e9c-25c814761640. Accessed December 12, 2021

2. Bansal R, Yaron A (2004) Risks for the long run: a potential resolution of asset pricing puzzles. J Financ 59(4):1481–1509

3. Begu LS, Vasilescu MD, Stanila L, Clodnitchi R (2018) China-Angola Invest Model Sustain 10:2936. https://doi.org/10.3390/su10082936

4. Bilal S, Hoekman BM, Njinkeu D (2021) EU-Africa trade and investment relations: towards greater convergence? In: Fargion V, Gazibo M (eds) Revisiting EU-Africa relations in a changing world. Edward Elgar, Cheltenham, pp 131–144

5. Chen W, Dollar D, Tang H (2015) Why is China investing in Africa? Evidence from the firm level. Brookings Report. https://www.brookings.edu/wp-content/uploads/2016/06/Why-is-China-investing-in-Africa.pdf

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