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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
Government spending with increasing risk: sovereign debt, liquidity preference, and the fiscal-monetary nexus | Nina Heichacker - University of Rhode Island | Financial Analysis | 2023 |
Exploring the Interrelationships between Public Health, Fiscal Decentralization, and Local Government Debt in China | Mingyao Cao, Keyi Duan, Mingyu Cao, Haslindar Ibrahim - Universiti Sains Malaysi, National University of Singapore; University of North Carolina; University College Dublin | Subnational Debt | 2023 |
Policies for liquid and well functioning sovereign debt markets | Alessandro Tombini - BIS | Debt Policy | 2023 |
Collateral Damage | - - Claudio Borio et al. | Financial Analysis | 2023 |
Machine Learning Algorithm for Mid-Term Projection of the EU Member States’ Indebtedness | Silvia Zarkova, Dimitar Kostov, Petko Angelov, Tsvetan Pavlov, Andrey Zahariev - "D. A. Tsenov " Academy of Economics | Cost and Risk | 2023 |
Tackling the fiscal policy-financial stability nexus | Claudio Borio, Marc Farag and Fabrizio Zampolli - BIS | Economic Policies | 2023 |
Emerging Market Real Economy Sustainable Bonds - Current and Potential Issuance: Country Focus - Egypt, Ghana, Morocco, Nigeria, South Africa : Sector Analysis - Power, Transport, Agribusiness | Cashion,Peter Goldblum, Dan Gibson, Tony Ben Smith, Anne Igbinedion, Benita Nguyen, Quyen Thuc Joseph, Roshin Mathai - World Bank | Primary Markets | 2022 |
Risk capacity, portfolio choice and exchange rates | Boris Hofmann, Ilhyock Shim and Hyun Song Shin - BIS | Financial Analysis | 2022 |
Default or depreciate | Yasin Kürsat, Önder Enes Sunel - Ghent University | Financial Analysis | 2021 |
The impacts of disaster risk on sovereign asset and liability management | World Bank | Cost and Risk | 2022 |
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