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Title Author/Affiliation Topic Year of Publication
Banks’ Portfolio of Government Debt and Sovereign Risk António Afonso, José Alves, Sofia Monteiro - ISEG Financial Analysis 2023
Fiscal Space and Government-Spending Cyclicality: Evidence from Quantile Regression Yi-Chen Lin, Wen-Shuenn Deng - Tamkang University Economic Policies 2022
It’s not time to make a change: sovereign fragility and the corporate credit risk Fabio Fornari, Andrea Zaghin - European Central Bank, Bank of Italy Financial Analysis 2022
Sovereign Credit Ratings analysis using the Logistic Regression Model Oliver Takawira, John W. Muteba Mwamba - University of Johannesburg, South Africa Financial Analysis 2022
Credit Worthy: ESG factors and Sovereign Credit Ratings Gratcheva Ekaterina M., O'Reilly Gurhy Bryan, Skarnulis Andrius, Stewart Fiona Elizabeth, Wan Dieter - The World Bank Investor Relations and Rating Agencies 2022
ESG and Sovereign Risk: What is Priced in by the Bond Market and Credit Rating Agencies? Raphaël Semet, Thierry Roncalli, Lauren Stagnol - University of Paris-Saclay, Amundi Asset Management Financial Analysis 2021
Sovereign credit ratings during the Covid-19 pandemic Yen Tran, Huong Vu, Patrycja Klusak, Moritz Kramer, Tri Hoan - University of Aberdeen, Norwich Business School, Goethe-University, University of Economics of Ho Chi Minh City Investor Relations and Rating Agencies 2021
Is to Forgive to Forget? Sovereign Risk in the Aftermath of a Default Silvia Marchesi, Tania Masi, Pietro Bomprezzi - University of Milano Bicocca, "G. d'Annunzio", University of Chieti-Pescara Debt Restructuring 2021
The risks from climate change to sovereign debt in Europe Stavros A. Zenios - Bruegel Cost and Risk 2021
Economic Governance Improvements and Sovereign Financing Costs in Developing Countries Girum Abate, Michael Brown, Alex Sienaert, Mark Thomas - World Bank Institutional and Organizational Framework 2021

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