Sovereign credit and geopolitical risks during and after the EMU crisis

Author:

Bratis Theodoros1ORCID,Kouretas Georgios P.12ORCID,Laopodis Nikiforos T.3ORCID,Vlamis Prodromos4

Affiliation:

1. Department of Business Administration Athens University of Economics and Business Athens Greece

2. IPAG Business School Paris France

3. Department of Finance, School of Business & Economics The American College of Greece Athens Greece

4. Department of Economics University of Piraeus Piraeus Greece

Abstract

AbstractThis paper focuses on the sovereign crisis of the Euro debt crisis era, and we address the existence of the relationship of CDS and bond markets sovereign credit risk pricing for selected core and periphery EMU countries, during and after the 2009 EMU crisis. We study this relationship in conjunction to geopolitical risk as a measure of macroeconomic uncertainty. We use daily observations for several bond maturities and CDS premium with reference to the core (France and Germany) versus periphery EMU countries (Portugal, Italy, Ireland Spain, and Greece) for the period 2009 to 2014. To measure global geopolitical risk, we employ the Caldara and Iacoviello (2022) global geopolitics index (GPR). Using alternative econometric approaches, we find adequate evidence of volatility spillovers between the geopolitical risk index and sovereign risk markets mainly during the crisis period (2009–2012) and weaker during the easing of the eurozone debt crisis period (2012–2014). Moreover, based on Granger causality the estimation of the short‐ term dynamics reveals a significant linkage during the post‐crisis period rather than during crisis. During the crisis period, we found significant dynamic responses between GPR and bond yields.

Publisher

Wiley

Subject

Economics and Econometrics,Finance,Accounting

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