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List of Document
Title Author/Affiliation Topic Year of Publication
Empty Creditors and Sovereign Debt: What Now? Yesha Yadav - Vanderbilt University Cost and Risk 2014
The DOs and DON’Ts of credit default swaps (CDS) in the context of the EU sovereign debt crisis Rodrigo Olivares-Caminal, Kiriakos E Papadakis, Olga Galazoula, Ioannis Kokkoris Cost and Risk 2014
Shock on Variable or Shock on Distribution with Application to Stress-Tests Simon Dubecq, Christian Gourieroux - Banque de France, and CREST, CREST, and University of Toronto Cost and Risk 2012
The Term Structure of CDS Spreads and Sovereign Credit Risk Patrick Augustin - McGill University Cost and Risk 2014
A Comparative Analysis of Tools to Limit the Procyclicality of Initial Margin Requirements David Murphy, Michalis Vasios and Nicholas Vause - Bank of England Cost and Risk 2016
Credit Rating Determinants for European Countries Patrycja Chodnicka-Jaworska - University of Warsaw Cost and Risk 2016
Government Intervention in Response to the Subprime Financial Crisis: The Good into the Pot, the Bad into the Crop Bastian Breitenfellner, Niklas Wagner - Passau University, Passau University Cost and Risk 2009
Debt Management - Theory and Practice Donna Leong - Economic Advisor, HM Treasury, United Kingdom Cost and Risk 1999
Mapping the state of financial stability Peter Sarlin, Tuomas A. Peltonen - Åbo Akademi University,Turku Finland, European Central Bank, Frankfurt Germany Cost and Risk 2011
Structural Reforms in Government Bond Markets Mark De Broeck, Dominique Guillame, Emmanuel Van der Stichele - IMF Reseaech Department, University of Oxford, J.P.Morgan Cost and Risk 1998

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