Attention to the Tail(s): Global Financial Conditions and Exchange Rate Risks
نویسندگان
چکیده
We document how the entire distribution of exchange rate returns responds to changes in global financial conditions. measure conditions as common component country-specific condition indices, computed consistently across a large panel developed and emerging economies. Using quantile regression, we provide characterisation ranking tail behaviour sample currencies response tightening conditions, corroborating (and quantifying) some prevailing narratives about safe haven risky currencies. Compared most standard approaches, our methodology delivers more nuanced picture behaviour, allowing for example make probabilistic statements likelihood observing swings given environment. also identify macroeconomic fundamentals associated with different dynamics: countries higher interest rates, low levels international reserves fiscal deficits display marked increases losses
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ژورنال
عنوان ژورنال: IMF Economic Review
سال: 2022
ISSN: ['2041-4161', '2041-417X']
DOI: https://doi.org/10.1057/s41308-022-00160-0