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Title Author/Affiliation Topic Year of Publication
Public Debt, Oil Rent, and Financial Development in MENA Countries: A Fractional Response Model Approach (FRM) Mashael Fahad Alkhurayji, Hamed Mohammed - King Saud University Macroeconomic Analysis 2025
Impact of Physical Climate Risks on Financing Costs of China’s Local Government Financing Vehicle Bonds Chun Tang, Guangjin Chai, Jie Gao - University of International Business and Economics (UIBE) Financial Analysis 2025
Deterministic and Stochastic Macrodynamic Models for Developing Economies’ Policies: An Analysis of the Brazilian Economy Milton Biage, Pierre Joseph Nelcide, Guilherme de Ferreira Lima, Jr. - Federal University of Santa Catarina, Federal University of Acre Macroeconomic Analysis 2025
Fintechs and the Future of Sovereign Bonds Bill Cut Financial Analysis 2025
Sovereign Transition: Unlocking the Investment Opportunity Climate Bonds Initiative Primary Markets 2025
Financial fragmentation as a vulnerability in euro area bond markets Benjamin Mosk, Nander de Vette - IMF, De Nederlandsche Bank Cost and Risk 2025
Country platforms in the context of rising sovereign debt levels Archie Gilmour et al. - ODI Debt Policy 2025
Deficits and Debt in the Lens of History Barry Eichengreen - Berkeley University Economic Policies 2025
Exorbitant Politics? The Future of U.S. Debt and Fiscal Policy Layna Mosley - Princeton University Debt Policy 2025
A tale of two debts in France and the UK Thomas Mayer - Deutsche Bank Macroeconomic Analysis 2025

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