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Revisiting the determinants of sovereign bond yield volatility

dc.contributor.authorFerreira, Carlos Alberto Piscarreta Pinto
dc.date.accessioned2022-08-01T13:14:53Z
dc.date.available2022-08-01T13:14:53Z
dc.date.issued2022-07
dc.description.abstractAlthough there is an extensive literature regarding volatility in the financial markets, to our knowledge, few empirical studies specifically focus on the drivers of volatility of sovereign bond yields. This empirical paper aims to fill part of this gap and to provide more up to date empirical insights. We add to previous work by examining the issue simultaneously in a broad number of advanced economies. Our analysis shows that sovereign bond unconditional volatility exhibits mean-reversion and persistence. Bond yield volatility responds to proximate market movements and global risk. However, that response is found to be uneven across geographies, asymmetric in some cases and possibly time-varying. Macro and policy uncertainty impact depends on the specific uncertainty measures used and rarely is very meaningful.pt_PT
dc.description.versioninfo:eu-repo/semantics/publishedVersionpt_PT
dc.identifier.citationFerreira, Carlos Alberto Piscarreta Pinto (2022). "Revisiting the determinants of sovereign bond yield volatility". REM Working paper series, nº 0241/2022pt_PT
dc.identifier.issn2184-108X
dc.identifier.urihttp://hdl.handle.net/10400.5/25070
dc.language.isoengpt_PT
dc.peerreviewedyespt_PT
dc.publisherISEG - REM - Research in Economics and Mathematicspt_PT
dc.relation.ispartofseriesREM Working paper series;nº 0241/2022
dc.relation.publisherversionhttps://rem.rc.iseg.ulisboa.pt/wps/pdf/REM_WP_0241_2022.pdfpt_PT
dc.subjectVolatilitypt_PT
dc.subjectBond Marketpt_PT
dc.subjectPublic Debtpt_PT
dc.subjectSovereign Riskpt_PT
dc.subjectPanel Datapt_PT
dc.subjectFixed Effectspt_PT
dc.titleRevisiting the determinants of sovereign bond yield volatilitypt_PT
dc.typeworking paper
dspace.entity.typePublication
rcaap.rightsopenAccesspt_PT
rcaap.typeworkingPaperpt_PT

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