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Title Author/Affiliation Topic Year of Publication
The Social Costs of Sovereign Default Juan P. Farah-Yacoub, Clemens Graf von Luckner, Rita Ramalho, Carmen Reinhart - Harvard University, Sciences Po, World Bank Group, NBER & CEPR Financial Analysis 2022
A global monetary policy factor in sovereign bond yields Dimitris Malliaropulos, Petros Migiakis - Bank of Greece Financial Analysis 2022
Financial History of Europe: New Indices Bryan Taylor - Global Financial Data Financial Analysis 2022
Sovereign Debt Holding and Bank Sensitivity Toward Market Risk: An Alternative View of the Bank-Sovereign Problem Aneta Hryckiewicz, Petra Pawlowski, Piotr Mazur, Marcin Borsuk - Kozminski University, European Central Bank Financial Analysis 2022
Testing Explosive Bubbles with Time-Varying Volatility: The Case of Spanish Public Debt Vicente Esteve García, Maria A. Prats - Universidad de Valencia and Universidad de Alcalà, Universidad de Murcia Financial Analysis 2022
Sovereign Default Risk and Climate Change: Is it Hot Enough? Ibrahima Diarra, Adham Jaber - Université Paris-Saclay Financial Analysis 2022
Sources of Fluctuations in Short-Term Yields and Recession Probabilities Andrea Ajello, Luca Benzoni, Makena Schwinn, Yannick Timmer, Francisco Vazquez-Grande - FED of Chicago Financial Analysis 2022
Building portfolios of sovereign securities with decreasing carbon footprints Gong Cheng, Eric Jondeau, Benoit Mojon - BIS, University of Lausanne Financial Analysis 2022
The Eurosystem’s bond market share at an all-time high: what does it mean for repo markets? Tomás Carrera de Souza and Tom Hudepohl - The Netherlands' Central Bank Financial Analysis 2022
Capital flows and monetary policy trade-offs in emerging market economies Paolo Cavallino and Boris Hofmann - BIS Financial Analysis 2022

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