Pehlivanoğlu Ferhat, Akdağ Saffet, Alola Andrew Adewale
Department of Economics, Faculty of Economics and Administrative Sciences, Kocaeli University, Umuttepe, Kocaeli, Turkey.
Department of Banking and Finance, Faculty of Applied Sciences, Tarsus University, Tarsus, Mersin, Turkey.
Qual Quant. 2021;55(4):1261-1273. doi: 10.1007/s11135-020-01053-y. Epub 2020 Oct 19.
The effect and significant of risk in every real life situation is increasingly becoming a pertinent subject in almost every field, thus causing potential adverse effects on both the individual's propensity to consume and invest. Also, the likelihood of the exposure of the developing countries to geopolitical risks amid experience of economic fragilities as indicated by security indexes has remained an important driver of the global market dynamics. On this note, this study is aimed at examining whether related risks in selected economies (Brazil, Indonesia, Republic of Korea, Russia, China, South Africa, Mexico, and Turkey) with geopolitical risks have a significant effect on consumer and producer confidence indexes by employing a monthly data between January 2004 and June 2018. A combination of two panel causality tecniques that examined both the panel and country-specific causality were employed to examine both the panel causal relationship and the country-specific causal relationship. The study found a causality relationship from geopolitical risk index to the consumer and producer confidence index for the overall panel. Also, the results in terms of the individual country showed that causality from the geopolitical risk index to the consumer confidence index is valid for Indonesia, South Africa, and Mexico. Meanwhile, the causality from geopolitical risk index to producer confidence index is valid for China, Indonesia, South Korea, and Mexico. The study presented useful financial and securtity policy measure for the examined panel of selected countries.
在每一个现实生活情境中,风险的影响和重要性在几乎各个领域都日益成为一个相关主题,从而对个人的消费和投资倾向都造成潜在的不利影响。此外,正如安全指数所表明的,在经历经济脆弱性的情况下,发展中国家面临地缘政治风险的可能性仍然是全球市场动态的一个重要驱动因素。基于此,本研究旨在通过采用2004年1月至2018年6月的月度数据,考察选定的存在地缘政治风险的经济体(巴西、印度尼西亚、韩国、俄罗斯、中国、南非、墨西哥和土耳其)中的相关风险是否对消费者和生产者信心指数有显著影响。运用了两种面板因果关系技术的组合,既考察了面板因果关系,也考察了特定国家的因果关系,以检验这两种因果关系。研究发现,对于整个面板而言,存在从地缘政治风险指数到消费者和生产者信心指数的因果关系。此外,就个别国家的结果而言,从地缘政治风险指数到消费者信心指数的因果关系在印度尼西亚、南非和墨西哥是成立的。同时,从地缘政治风险指数到生产者信心指数的因果关系在中国、印度尼西亚、韩国和墨西哥是成立的。该研究为所考察的选定国家面板提出了有用的金融和安全政策措施。