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Title Author/Affiliation Topic Year of Publication
A Debt Crisis with Strategic Investors: Changes in Demand and the Role of Market Power Ricardo Alves Monteiro - IMF Debt Crisis 2025
The potential impact of broader central clearing on dealer balance sheet capacity: a case study of UK gilt and gilt repo markets. The Bank of England Cost and Risk 2023
The Role of International Political Stability on Two-Centuries of Sovereign Defaults Consuelo Silva Buston, Marcela Valenzuela, Ilknur Zer - Pontificia Universidad Católica de Chile, Board of Governors of the Federal Reserve System Financial Analysis 2023
Sovereign risk and bank lending: evidence from 1999 Turkish earthquake Yusuf Soner Başkaya, Bryan Hardy, Sebnem Kalemli-Ozcan and Vivian Yue - University of Glasgow, BIS, University of Maryland Financial Analysis 2023
The Sovereign-Bank Nexus in Emerging Markets in the Wake of the COVID-19 Pandemic Andrea Deghi, Salih Fendoglu, Tara Iyer, Hamid R Tabarraei. Yizhi Xu, Mustafa Yenice - International Monetary Fund Financial Analysis 2022
Did Public Debt Assets improve the Resilience of Money Market Funds during the COVID-19 Crisis? Peter G. Dunne, Raffaele Giuliana - Ireland Central Bank Financial Analysis 2022
Sovereign Debt Holding and Bank Sensitivity Toward Market Risk: An Alternative View of the Bank-Sovereign Problem Aneta Hryckiewicz, Petra Pawlowski, Piotr Mazur, Marcin Borsuk - Kozminski University, European Central Bank Financial Analysis 2022
Building portfolios of sovereign securities with decreasing carbon footprints Gong Cheng, Eric Jondeau, Benoit Mojon - BIS, University of Lausanne Financial Analysis 2022
Sovereign Debt in the 21st Century: Looking Backward, Looking Forward Kris James Mitchener, Christoph Trebesch - Santa Clara University, Kiel Institute & Kiel University Secondary Markets 2021
Revisiting the Stabilization Role of Public Banks: Public Debt Matters H. Elif Ture - International Monetary Fund Financial Analysis 2021

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