An Overview of the Issues and the Book

P. Chantapacdepong, Matthias Helble, N. Yoshino
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Abstract

The introduction provides an overview of the book and summarizes its objectives. The book is divided into four parts. The first part provides an overview of the empirics of shock spillovers through trade and financial channels in general. The second part examines the mechanism driving financial spillovers, both price-oriented and quantity-oriented. The third part presents case studies of the implications of spillovers on real economies. The final part outlines implications for monetary policy and macroprudential policy. The objective of this book is to explain how macroeconomic shocks stemming from the global financial crisis and recent unconventional monetary policies in developed economies have affected macroeconomic and financial stability in emerging markets, with a particular focus on Asia. In particular, the book studies the spillover effects of macroeconomic shocks on financial markets and flows in emerging economies and the impact of recent macroeconomic shocks on real economies in emerging markets.
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问题和本书的概述
引言部分概述了本书的内容,并总结了本书的目标。这本书分为四个部分。第一部分概述了通过贸易和金融渠道的冲击溢出效应的经验。第二部分考察了驱动金融溢出的机制,包括价格导向和数量导向。第三部分介绍了溢出效应对实体经济影响的案例研究。最后一部分概述了对货币政策和宏观审慎政策的影响。本书的目的是解释由全球金融危机和发达经济体最近的非常规货币政策引发的宏观经济冲击如何影响新兴市场的宏观经济和金融稳定,特别关注亚洲。该书特别研究了宏观经济冲击对新兴经济体金融市场和资本流动的溢出效应,以及近期宏观经济冲击对新兴市场实体经济的影响。
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