Expecting the unexpected: Stressed scenarios for economic growth

Author:

González‐Rivera Gloria1,Rodríguez‐Caballero C. Vladimir23,Ruiz Esther4

Affiliation:

1. Department of Economics University of California Riverside California USA

2. Department of Statistics ITAM Mexico City Mexico

3. CREATES Aarhus University Aarhus Denmark

4. Department of Statistics Universidad Carlos III de Madrid Madrid Spain

Abstract

SummaryWe propose the construction of conditional growth densities under stressed factor scenarios to assess the level of exposure of an economy to small probability but potentially catastrophic economic and/or financial scenarios, which can be either domestic or international. The choice of severe yet plausible stress scenarios is based on the joint probability distribution of the underlying factors driving growth, which are extracted with a multilevel dynamic factor model (DFM) from a wide set of domestic/worldwide and/or macroeconomic/financial variables. All together, we provide a risk management tool that allows for a complete visualization of the dynamics of the growth densities under average scenarios and extreme scenarios. We calculate growth‐in‐stress (GiS) measures, defined as the 5% quantile of the stressed growth densities, and show that GiS is a useful and complementary tool to growth‐at‐risk (GaR) when policymakers wish to carry out a multidimensional scenario analysis. The unprecedented economic shock brought by the COVID‐19 pandemic provides a natural environment to assess the vulnerability of US growth with the proposed methodology.

Publisher

Wiley

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5. Monetary policy, financial conditions and financial stability;Adrian T.;International Journal of Central Banking,2018

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