Currency Crisis Revisited: A Literature Review
This paper elaborates on currency crisis, focusing on the main factors causing the currency crisis. After a brief overview of the main factors driving currency crisis, the paper provides a literature review highlighting that the history of the global economy experienced a number of currency crisis...
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Format: | Article |
Language: | English |
Published: |
Danubius University
2015-12-01
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Series: | Acta Universitatis Danubius: Oeconomica |
Subjects: | |
Online Access: | http://journals.univ-danubius.ro/index.php/oeconomica/article/view/3056/2984 |
Summary: | This paper elaborates on currency crisis, focusing on the main factors causing the currency
crisis. After a brief overview of the main factors driving currency crisis, the paper provides a literature
review highlighting that the history of the global economy experienced a number of currency crisis
whereas as relates to the triggers of the currency crisis there are three generations of models that have
been used to explain currency crisis during the last four decades. Underscoring the role of the
government in financial market, in particular the evolution of this role as a result of the recent global
financial crisis and highlighting other factors that trigger such crisis, the paper concludes that the
potential financial crisis can be addressed using early warning system, which consists of indicators
proven to be beneficial in anticipation of the currency crisis, and using the advanced empirical models
of currency crisis. In this context the paper reveals that currency crisis are associated with all factors
impacting them such as inflation, real exchange rate, import growth, US interest rates, public debt/GDP,
and current account/GDP – all with a slightly different time lag. |
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ISSN: | 2065-0175 2067-340X |