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Original Articles

Balance of payment crises in emerging markets: how early were the ‘early’ warning signals?

Pages 1601-1623 | Published online: 02 Feb 2012

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Mekki Hamdaoui & Samir Maktouf. (2019) Overall effects of financial liberalization: financial crisis versus economic growth. International Review of Applied Economics 33:4, pages 568-595.
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Martin Bruns & Tigran Poghosyan. (2018) Leading indicators of fiscal distress: evidence from extreme bounds analysis. Applied Economics 50:13, pages 1454-1478.
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Articles from other publishers (23)

Ewelina Idziak. (2023) Consequences of Government Bonds Preferential Treatment in Bank’s Balance Statements, Exemplified By the Collapse of Silicon Valley Bank. Studies in Logic, Grammar and Rhetoric 68:1, pages 309-328.
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Adem Baltaci, Raif Cergibozan & Ali Ari. (2022) Cultural values and the global financial crisis: a missing link?. Eurasian Economic Review 12:3, pages 507-529.
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Mekki Hamdaoui, SaifEddine Ayouni & Samir Maktouf. (2022) Financial crises: explanation, prediction, and interdependence. SN Business & Economics 2:8.
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Nihat Tak & Adem Gök. (2020) Dating currency crises and designing early warning systems: Meta‐possibilistic fuzzy index functions. International Journal of Finance & Economics 27:3, pages 3773-3790.
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Tjeerd M. Boonman & Andrea E. Sanchez Urbina. (2020) Extreme Bounds Analysis in Early Warning Systems for Currency Crises. Open Economies Review 31:2, pages 431-470.
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Furqan Ahmed, Lubna Khan, Fatima Farooq & Tahir Suleman. (2020) Impact of International Trade and Trade Duties on Current Account Balance of the Balance of Payment: A study of N-11 Countries. Journal of Accounting and Finance in Emerging Economies 6:1, pages 11-32.
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Shouvik Kumar Guha, Navajyoti Samanta, Abhik Majumdar, Mandeep Singh & Ananya Bharadwaj. (2019) Evolution of corporate governance in India and its impact on the growth of the financial market: an empirical analysis (1995-2014). Corporate Governance: The International Journal of Business in Society 19:5, pages 945-984.
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Navajyoti Samanta. (2019) Transplantation of Anglo-American corporate governance and its impact on financial market growth: a comparative analysis of nineteen developing countries 1995-2014. Corporate Governance: The International Journal of Business in Society 19:5, pages 884-922.
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Ali Ari & Raif Cergibozan. (2018) Currency crises in Turkey: An empirical assessment. Research in International Business and Finance 46, pages 281-293.
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Amir Manzoor. 2018. Risk and Contingency Management. Risk and Contingency Management 1 25 .
Mark Joy, Marek Rusnák, Kateřina Šmídková & Bořek Vašíček. (2016) Banking and Currency Crises: Differential Diagnostics for Developed Countries. International Journal of Finance & Economics 22:1, pages 44-67.
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Martin Bruns & Tigran Poghosyan. (2016) Leading Indicators of Fiscal Distress: Evidence from the Extreme Bound Analysis. IMF Working Papers 16:28, pages 1.
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Ali Ari, Raif Cergibozan & Sedat Demir. 2016. Handbook of Research on Financial and Banking Crisis Prediction through Early Warning Systems. Handbook of Research on Financial and Banking Crisis Prediction through Early Warning Systems 240 273 .
Amir Manzoor. 2016. Handbook of Research on Financial and Banking Crisis Prediction through Early Warning Systems. Handbook of Research on Financial and Banking Crisis Prediction through Early Warning Systems 22 45 .
Charis Christofides, Theo S. Eicher & Chris Papageorgiou. (2016) Did established Early Warning Signals predict the 2008 crises?. European Economic Review 81, pages 103-114.
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Jan Babecký, Tomáš Havránek, Jakub Matějů, Marek Rusnák, Kateřina Šmídková & Bořek Vašíček. (2014) Banking, debt, and currency crises in developed countries: Stylized facts and early warning indicators. Journal of Financial Stability 15, pages 1-17.
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Jan Babecký, Tomáš Havránek, Jakub Matějů, Marek Rusnák, Kateřina Šmídková & Bořek Vašíček. (2013) Leading indicators of crisis incidence: Evidence from developed countries. Journal of International Money and Finance 35, pages 1-19.
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Grégory Levieuge, Yannick Lucotte & Florian Pradines-Jobet. (2019) The Cost of Banking Crises: Does the Policy Framework Matter?. SSRN Electronic Journal.
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Dr. Rabi N. Mishra & M. Sreeramulu. (2017) Forewarned is Forearmed: Configuring an Early Warning Mechanism for Macro-Financial Space in India. SSRN Electronic Journal.
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Tasoh Martin & Winnie Wakarima Githui. (2016) Transmission of Financial Crisis: Evidence of Sub-Sahara Africa (SSA). SSRN Electronic Journal.
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Mykhaylo Makarenko & Oksana Ponomarenko. (2014) Ukrainees Financial Account Balance of Payments as Indicator of the Economic Stability. SSRN Electronic Journal.
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Alexander E. Abramov & Pavel Trunin. (2013) (Study of Risks and Russian Foreign Market Turbulence in Increased Economic Processes). SSRN Electronic Journal.
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Matthieu Bussière. (2013) In Defense of Early Warning Signals. SSRN Electronic Journal.
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