Exploring the Nexus between Political Risk and Financial Risk in the Balkan Countries: A Wavelet-Based NARDL Coherency analysis

Sadat Momoh Shuaibu, Derviş Kırıkkaleli
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Abstract

The empirical investigation of which risk factor—political or financial—is the optimal driver of country risk in emerging economies in the twenty-first century has grown into a significant and volatile issue in recent decades. This paper investigates the linkages between political risk and financial risk in four Balkan economies (i.e., Greece, Albania, Bulgaria, and Romania) from 1984 Q3 to 2018 Q4, using non-linear autoregressive distributed lag co-integration (NARDL) and wavelet coherence approaches. As a result, findings from the links between political risk and financial risk are being used to provide significant insights into effective urban planning in Balkan cities. The outcomes of the NARDAL analysis indicate that there are short-term and long-term asymmetric links between political risk and financial risk in the Balkan countries except for Romania. The wavelet coherence study also revealed that there is significant vulnerability between political risk and financial risk at different frequencies in the region, also, political risk is a key for predicting financial risk over the selected study period at different frequencies in Albania and Bulgaria.
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探讨巴尔干国家政治风险与金融风险之间的关系:基于小波的NARDL一致性分析
近几十年来,关于哪种风险因素(政治风险还是金融风险)是21世纪新兴经济体国家风险的最佳驱动因素的实证调查已经成为一个重要而动荡的问题。本文采用非线性自回归分布滞后协整(NARDL)和小波相干性方法,研究了1984年第三季度至2018年第四季度四个巴尔干经济体(即希腊、阿尔巴尼亚、保加利亚和罗马尼亚)政治风险与金融风险之间的联系。因此,政治风险和金融风险之间联系的研究结果正被用来为巴尔干城市的有效城市规划提供重要见解。NARDAL分析的结果表明,除罗马尼亚外,巴尔干国家的政治风险和金融风险之间存在短期和长期的不对称联系。小波相干性研究还表明,该地区不同频率的政治风险和金融风险之间存在显著的脆弱性,政治风险是预测阿尔巴尼亚和保加利亚不同频率的选定研究期间金融风险的关键。
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4 weeks
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