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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
Assessing nonlinearities and heterogeneity in debt sustainability analysis: a panel spline approach | Benjamin Owusu, Bettina Bökemeier, Alfred Greiner - Bielefeld University | Macroeconomic Analysis | 2023 |
Examining US monetary spillover to Indonesian local currency government bonds in volatile periods | Muhammad Fajar Nugraha - Ministry of Finance Indonesia | Secondary Markets | 2023 |
Tracking sovereign stress in 112 countries | Paul Della Guardia - Sovereign Vibe | Financial Analysis | 2023 |
The Nexus between Public Debt and the Government Spending Multiplier: Fiscal Adjustments Matter | Yasuharu Iwata, Hirokuni Iibosh - Government of Japan, Nihon University | Economic Policies | 2023 |
Debt-Stabilizing Properties of Gdp-Linked Securities: A Macro-Finance Perspective | Sarah Mouabbi, Jean-Paul Renne, Jean-Guillaume Sahuc - Banque de France, University of Lausanne | Financial Analysis | 2022 |
Ukraine: War and Debt Crisis | Jürgen Kaiser - erlassjahr.de | Financial Analysis | 2022 |
Testing Explosive Bubbles with Time-Varying Volatility: The Case of Spanish Public Debt | Vicente Esteve García, Maria A. Prats - Universidad de Valencia and Universidad de Alcalà, Universidad de Murcia | Financial Analysis | 2022 |
FTPL and the Maturity Structure of Government Debt in the New-Keynesian Model | Max Ole Liemen, Olaf Posch - University of Hamburg | Primary Markets | 2022 |
Stock-Flow Adjustments, Public Debt Management and Interest Costs | Fabrizio Casalin, Floriana Cerniglia, Enzo Dia - Bicocca University, Catholic University of Lille | Macroeconomic Analysis | 2022 |
The Sustainability of Mexican Municipal Public Debt | Rufino Tamayo, Eugenio Garza Lagüera, San Pedro Garza García - EGADE Business School, Tecnologico de Monterrey, Mexico | Subnational Debt | 2022 |
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