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Article

Macro-Investment Risks in Emerging and Frontier Markets

Michael J. Howell
The Journal of Investing Spring 2015, 24 (1) 109-123; DOI: https://doi.org/10.3905/joi.2015.24.1.109
Michael J. Howell
is a managing director at CrossBorder Capital Ltd. in London, U.K.
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  • For correspondence: mjh@liquidity.com
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Abstract

In this article, we examine forward-looking investment risks in nascent financial markets, using macroeconomic data on credit and capital flows. We focus on the recent deterioration in frontier and, particularly, emerging market risk measures. We attribute this to adverse developments in the Chinese economy, which, we conclude, is adding to systemic risk.

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The Journal of Investing: 24 (1)
The Journal of Investing
Vol. 24, Issue 1
Spring 2015
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Macro-Investment Risks in Emerging and Frontier Markets
Michael J. Howell
The Journal of Investing Feb 2015, 24 (1) 109-123; DOI: 10.3905/joi.2015.24.1.109

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Macro-Investment Risks in Emerging and Frontier Markets
Michael J. Howell
The Journal of Investing Feb 2015, 24 (1) 109-123; DOI: 10.3905/joi.2015.24.1.109
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  • Article
    • Abstract
    • MACRO-LIQUIDITY AND RISK DATA
    • EMERGING AND FRONTIER FINANCING AND FOREX RISKS
    • THE IMPACT OF CHINA
    • CONCLUSION
    • ENDNOTES
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