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Title Author/Affiliation Topic Year of Publication
European sovereign debt risk management: The role of a European Debt Agency Massimo Amato et al. - Bocconi University Debt Policy 2024
Which exchange rate matters to global investors? Kristy Jansen, Hyun Song Shin, Goetz von Peter - Marshall School of Business, University of Southern California, BIS Financial Analysis 2024
The Poisoned Chalice of Debt Mark Aguiar - Princeton University Financial Analysis 2024
Sri Lanka’s Bond Deal Should Not Set a Precedent Brad W. Setser - Council on Foreign Relations Financial Analysis 2024
Resilience in emerging markets: what makes it, what could shake it? Bryan Hardy, Deniz Igan, Enisse Kharroubi - BIS Macroeconomic Analysis 2024
A better way to induce creditor cooperation in sovereign-debt workouts Lee C. Buchheit, Indermit Gill - University of Edinburgh, World Bank Debt Crisis 2024
A G20 Common Framework for the common person: Why addressing Global Inequality hinges on effective Debt Relief Tim Hirschel-Burns - Boston University Debt Restructuring 2024
IMF Programs and Borrowing Costs: Does Size Matter? Salim Chahine, Ugo Panizza, Guilherme Suedekum - Central Bank of Lebanon, Geneva Graduate Institute (IHEID) and CEPR Financial Analysis 2024
The End of Magical Debt Thinking Kenneth Rogoff - Harvard University Debt Policy 2024
Government Size and Risk Premium Abhishek Kumar, Sushanta Mallick - University of Southampton, Queen Mary University of London Cost and Risk 2024

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