Transformation of Derivatives Securities in Emerging Markets: Policy Implications in Light of the 2007–2009 Global Financial Crisis and COVID-19 Pandemic
Mazin A. M. Al Janabi
Chapter 26 in Financial Transformations Beyond the COVID-19 Health Crisis, 2022, pp 757-786 from World Scientific Publishing Co. Pte. Ltd.
Abstract:
During the last three decades, trading of derivatives products in emerging markets has undergone a number of adaptations and modernizations to different scales, depending on each market’s early stages of infrastructure. This chapter discusses some of the central barriers to the launch of rewarding derivatives products in emerging economies and proposes some possible responses, pragmatic solutions, policy measures, and implications, in light of the outcomes of the 2007–2009 Global Financial Crisis and the COVID-19 pandemic. The objective is to set unambiguous operational platforms, sound regulations and effective oversights to deter misconducts, frauds, manipulations, abusive practices, and rogue trading within financial markets and institutions.
Keywords: COVID19; Pandemic; Pandemic Outbreak; Health Crisis; Economics; Macroeconomics; Finance; Sustainable Finance; Financial Crisis; Financial Integration; Economic Integration; Global Financial Crisis; Financial Institutions; Corporate Finance; Corporate Governance; Board of Directors; ESG; Corporate Social Responsibility; Sustainable Finance; Stock Markets; Financial Markets; Stock Market Behaviour; Firm Liquidity; Emerging Markets; China; Financial Institutions; Money; Banks; Banking System; Banking Sector; Business Groups; Resilience; Safe Heaven; Gold; Oil; Peer-to-Peer Lending Market; Foreign Trading; Stock Market Volatility; Extreme Events (search for similar items in EconPapers)
JEL-codes: F4 F62 G15 G17 G3 O16 (search for similar items in EconPapers)
Date: 2022
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