European Government Bond Markets and Monetary Policy Surprises: Returns, Volatility and Integration

dc.contributor.author
Abad, Pilar
dc.contributor.author
Chuliá Soler, Helena
dc.date.issued
2014-09-30T11:22:37Z
dc.date.issued
2014-09-30T11:22:37Z
dc.date.issued
2013
dc.date.issued
2014-09-30T11:22:38Z
dc.identifier
2014-1254
dc.identifier
https://hdl.handle.net/2445/57835
dc.description.abstract
In this paper we investigate the response of bond markets to euro area and US monetary policy shocks. Specifically, we analyze the effect of unexpected changes in interest rates implemented by the European Central Bank -ECB- and the Federal Open Market Committee -FOMC- not only on the returns, but also on the volatility and the integration of European government bond markets. For all three characteristics our results show that the response to monetary policy surprises varies across groups of countries -EMU EU-15 central, EMU EU-15 peripheral, non-EMU EU-15 and non-EMU new EU-. We also find that the effects of monetary policy announcements on the level of integration are more pronounced than those on returns and volatility. Finally, our results paint a complex picture of the effects of monetary policy news releases on the level of integration. The effect of ECB monetary policy surprises differs across old and new European Union members, while the effect of FOMC monetary policy surprises differs across EMU and non-EMU members.
dc.format
25 p.
dc.format
application/pdf
dc.format
application/pdf
dc.language
eng
dc.publisher
Universitat de Barcelona. Institut de Recerca en Economia Aplicada Regional i Pública
dc.relation
Reproducció del document publicat a: http://www.ub.edu/irea/working_papers/2013/201325.pdf
dc.relation
IREA – Working Papers, 2013, IR13/25
dc.relation
[WP E-IR13/25]
dc.rights
cc-by-nc-nd, (c) Abad et al., 2013
dc.rights
http://creativecommons.org/licenses/by-nc-nd/3.0/
dc.rights
info:eu-repo/semantics/openAccess
dc.source
Documents de treball (Institut de Recerca en Economia Aplicada Regional i Pública (IREA))
dc.subject
Bancs d'inversió
dc.subject
Risc (Economia)
dc.subject
Bons
dc.subject
Gestió d'actius i passius
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Actius financers derivats
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Països de la Unió Europea
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Investment banking
dc.subject
Risk
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Bonds
dc.subject
Asset-liability management
dc.subject
Derivative securities
dc.subject
European
dc.subject
Union countries
dc.title
European Government Bond Markets and Monetary Policy Surprises: Returns, Volatility and Integration
dc.type
info:eu-repo/semantics/workingPaper


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