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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
Comparing CDS Spreads of EU Sovereigns in the Progress of the Global Financial Crisis and the Eurozone Debt Crisis Yongwoong Lee, Kisung Yang - Hankuk University, Soongsil University Financial Analysis 2023
A New Fiscal Framework for Resource-Rich Countries Luc Eyraud, William Gbohoui, Paolo Mauro - IMF Financial Analysis 2023
Financial Stress and Economic Activity: Evidence from a New Worldwide Index Hites Ahir et al. - IMF Financial Analysis 2023
Emerging Asia's $23.2 Trillion Answer to Economic Shocks: Local Currency Bond Markets Cheonkoo Kim et al. - Asian Development Blog Financial Analysis 2023
Government spending with increasing risk: sovereign debt, liquidity preference, and the fiscal-monetary nexus Nina Heichacker - University of Rhode Island Financial Analysis 2023
Shedding a light on domestic debt David Mihalyi, Diego Rivetti, Zsolt Bango - World Bank Financial Analysis 2023
Analysis of Public Debt in selected Western Balkan Countries Miloš Pjanić , Mirela Mitrašević - University of Novi Sad, University of East Sarajevo Financial Analysis 2023
Examining the link between US sovereign default risk and global interbank funding risk Simon Cottrell - University of South Australia’s Business School Financial Analysis 2023
Don't Blame the Government!? An Assessment of Debt Forecast Errors with a View to the Economic Governance Review Alena Bachleitner, Doris Prammer - Office of the Fiscal Advisory Council, Austrian National Bank Financial Analysis 2023

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