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The European sovereign debt crisis was a major focus for international financial
markets during 2010-2015. Economies fell into recession and financial market
volatility was high.
Critically analyse how the government debt problems initially faced by a few
relatively small economies could trigger such a wide impact in financial markets.
The essay must be strongly focused on the impact on financial markets, not on
other aspects of the European sovereign debt crisis (i.e. there should be no discussion
of banks, politics or macroeconomics).
You can consider the impact of the crisis on any one or two of the following: equity
markets, bond markets, money markets, derivatives markets and foreign exchange.
Contagion (or spillover) across markets is an important theme to be included.
The essay must include some theoretical content as well as practical considerations.
You must demonstrate reading and research far beyond the material discussed in
lectures. A minimum of ten references from academic journals is expected. Your
essay will benefit significantly from the inclusion of insights from academic and
practitioner research. Support your arguments with examples when appropriate.
You should ensure careful citation of all paper and electronic sources of information,
and include a list of references. (The references are not included in the word count).
Word limit: 2,000 words +/- 10% (approximately 6 pages A4 1.5 spacing).
You must state the word count on the cover page of your work.
The reference lists in these papers could be useful for your research for the Assessed Essay:
1. �Rating agencies� signals during the European sovereign debt crisis: Market impact and spillovers�, Journal of Economic Behavior and Organization (2013), Volume 85, pages 144-162. Rasha Alsakka and Owain ap Gwilym.
2. �The sovereign-bank rating channel and rating agencies� downgrades during the European debt crisis�, Journal of International Money and Finance (2014), Volume 49, pages 235-257. Rasha Alsakka, Owain ap Gwilym and Tuyet Nhung Vu.
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