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Title Author/Affiliation Topic Year of Publication
Improving the Government Debt Market Quality by Determining the Optimal Structure of Government Debt Portfolio Ahmad Danu Prasetyo, Naoyuki Yoshino - Lecturer at School of Business and Management, Bandung Institute of Technology, Indonesia, Professor at Graduate School of Economics, Keio University, Japan Cost and Risk 2013
DeMPA Programs World Bank Cost and Risk 2008
In Search of an Independent Province for the Treasuries: How Should Public Debt Be Managed? Gustavo Piga - Professor of Economics, University of Rome “Tor Vergata, gustavo.piga@uniroma2.it Cost and Risk 1998
Analysis and options for Namibia's medium-term debt strategy Bank The World Cost and Risk 2013
Sovereign Financial Guarantees Tomas Magnusson - The Swedish National Debt Office Cost and Risk 1999
Modelling Interest Rates for Public Debt Management Adamo Uboldi - Università "La Sapienza" di Roma Facoltà di Scienze Matematiche, Fisiche e Naturali Cost and Risk 2004
Fixed Income Pricing Qiang Dai, Kenneth Singleton - Stern School of Business, New York University, Graduate School of Business, Stanford University and NBER Cost and Risk 2002
Dollar Illiquidity and Central Bank Swap Arrangements During the Global Financial Crisis Andrew K. Rose, Mark Spiegel - University of California, Berkeley, USA, Vice President International Research Cost and Risk 2011
Institutions, Public Debt and Foreign Finance Nicola Gennaioli, Alberto Martin, Stefano Rossi - Stockholm University, Universitat Pompeu Fabra, Stockholm School of Economics Cost and Risk 2009
Systemic Sovereign Credit Risk: Lessons from the U.S. and Europe Andrew Ang, Francis Longstaff - Columbia Business School, UCLA Anderson Graduate School of Management Cost and Risk 2011

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