Bulletin n. 3/2011 | ||
February 2012 | ||
Gimet Celine |
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The Vulnerability of Asean+3 Countries to International Financial Crises | ||
in Review of International Economics , Volume 19, Issue 5, November 2011 , 2011 , 894-908 | ||
This article focuses on the reaction of the Association of Southeast Asian Nations (ASEAN) economies to international financial shocks. The crises in emerging markets at the end of the last century underlined the significant vulnerability of the emerging ASEAN economies to international financial fluctuations and a lack of sustainability in their exchange rate regime. A structural VAR model is used to analyze the efficiency of the measures adopted by these countries after this episode of crisis in order to protect their economies against speculative attacks. The results reveal that the impact of the recent subprime crisis on emerging ASEAN countries is less significant than that observed in industrialized ones. | ||