List of Tables
|1.1 Structure of emerging market external debt, 1997 5|
|1.2 Korea—Balance of payments and financing requirements 8|
|7.1 Potential indicators of crisis 73|
|7.2 Noise-to-signal ratios of currency crisis indicators 75|
|7.3 Definition of currency crisis 80|
|7.4 Leading indicators for currency crises 82|
|7.5 The Sachs et al. (1996a) hypothesis testing matrix 84|
|7.6 Out-of-sample predictive power of KLR and DCSD 91|
|7.7 Empirical evidence on crisis spillovers 100|
|8.1 IMF arrangements with selected countries 1983-2002 107|
|8.2 Share of external bonded debt denominated in domestic currency 114|
|10.1 Systemic index components 157|
|10.2 IMF programmes announced in sample countries 158|
|10.3 Endogenous variable: sample summary 158|
|10.4 Exogenous variables 160|
|10.5 Pooled probit estimation: basic model specification 161|
|10.6 Pooled probit estimation: moral hazard test specification 163|
Questia, a part of Gale, Cengage Learning. www.questia.com
Book title: Private Sector Involvement and International Financial Crises: An Analytical Perspective.
Contributors: Michael Chui - Author, Prasanna Gai - Author.
Publisher: Oxford University Press.
Place of publication: Oxford.
Publication year: 2005.
Page number: xiii.
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