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Dynamics of international integration of government securities' markets

Kumar, Manmohan; Okimoto, Tatsuyoshi

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This paper investigates the dynamics of international government bond market integration in six of the G7 economies over two decades leading up to the global crisis. It examines whether such integration had been significant; the extent to which integration at the short and long end of the yield curve differed; the nature of such integration; and the extent of the decoupling of the long rates from short rates. These issues are investigated using the rigorous smooth-transition copula-GARCH model...[Show more]

dc.contributor.authorKumar, Manmohan
dc.contributor.authorOkimoto, Tatsuyoshi
dc.date.accessioned2015-12-08T22:09:28Z
dc.identifier.issn0378-4266
dc.identifier.urihttp://hdl.handle.net/1885/29043
dc.description.abstractThis paper investigates the dynamics of international government bond market integration in six of the G7 economies over two decades leading up to the global crisis. It examines whether such integration had been significant; the extent to which integration at the short and long end of the yield curve differed; the nature of such integration; and the extent of the decoupling of the long rates from short rates. These issues are investigated using the rigorous smooth-transition copula-GARCH model framework. The results show that integration at the long end of the yield curve had been increasing, had become pronounced, and was significantly greater than at the short end. Decoupling between the short and long end of the yield curve was notable, with important implications for the efficacy of monetary policy in the period before the crisis. � 2010 Elsevier B.V.
dc.publisherElsevier
dc.sourceJournal of Banking and Finance
dc.subjectKeywords: Copula; Financial integration; Smooth transition model; Time-varying correlations
dc.titleDynamics of international integration of government securities' markets
dc.typeJournal article
local.description.notesImported from ARIES
local.identifier.citationvolume35
dc.date.issued2011
local.identifier.absfor150201 - Finance
local.identifier.ariespublicationu4430637xPUB62
local.type.statusPublished Version
local.contributor.affiliationKumar, Manmohan, Fiscal Affairs Department, IMF
local.contributor.affiliationOkimoto, Tatsuyoshi, College of Asia and the Pacific, ANU
local.description.embargo2037-12-31
local.bibliographicCitation.issue1
local.bibliographicCitation.startpage142
local.bibliographicCitation.lastpage154
local.identifier.doi10.1016/j.jbankfin.2010.07.019
local.identifier.absseo900101 - Finance Services
dc.date.updated2016-02-24T11:07:24Z
local.identifier.scopusID2-s2.0-77957906759
local.identifier.thomsonID000284393800012
CollectionsANU Research Publications

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