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Title Author/Affiliation Topic Year of Publication
Debt-Stabilizing Properties of Gdp-Linked Securities: A Macro-Finance Perspective Sarah Mouabbi, Jean-Paul Renne, Jean-Guillaume Sahuc - Banque de France, University of Lausanne Financial Analysis 2022
Optimal GDP-Indexed Bonds Yasin Kürşat Önder - Ghent University Financial Analysis 2022
Macrofinancial Determinants of Volatility Transmission in a Network of European Sovereign Debt Markets Javier Sànchez García, Salvador Cruz Rambaud - University of Almeria Financial Analysis 2022
Unconventional Monetary Policy and Local Fiscal Policy Huixin Bi, Nora Traum - Federal Reserve Bank of Kansas City Financial Analysis 2022
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
An Analysis of UK Swap Yields Tanweer Akram, Khawaja Mamun - Citibank, Sacred Heart University Financial Analysis 2022
Greeniums in sovereign bond markets Monika Grzegorczyk, Guntram B. Wolff - Bruegel Financial Analysis 2022
Nexus between government debt, economic policy uncertainty, government spending, and governmental effectiveness in BRIC nations: Evidence for linear and nonlinear assessments Ru Ma, Md Qamruzzaman - Central University of Finance and Economics, United International University Financial Analysis 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 Default and International Trade Charles Serfaty - Bank of France Financial Analysis 2022

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