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What is Market Risk Premium

Handbook of Research on Financial and Banking Crisis Prediction through Early Warning Systems
The difference between the expected return on a market portfolio and the risk-free rate.
Published in Chapter:
Assessing the Financial Vulnerability of Emerging Markets
Fahad Mansoor Pasha (Bogazici University, Turkey) and Neslihan Yilmaz (Bogazici Univerisity, Turkey)
DOI: 10.4018/978-1-4666-9484-2.ch020
Abstract
The consequences of the recent financial crises during the last two decades showed how important it is to monitor financial performance and try to predict a coming crisis. In an effort to predict a coming crisis, the authors calculate a vulnerability index based on a number of financial and economic indicators. This chapter analyzes the financial vulnerability of sixteen emerging countries as these countries are more vulnerable to financial fluctuations. The findings show that Peru, Russia, Indonesia, and Thailand are less vulnerable to a crisis, whereas, South Africa, Turkey, India, Egypt, and Hungary are more vulnerable to a crisis.
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