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Title Author/Affiliation Topic Year of Publication
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
The pricing of sovereign risk and contagion during the European sovereign debt crisis John Beirne, Marcel Fratzscher - European Central Bank, DIW-Berlin Cost and Risk 2013
Identifying the global transmission of the 2007-09 financial crisis in a GVAR Model Alexander Chudik, Marcel Fratzscher - ECB, ECB Cost and Risk 2011
Current Issues in Managing Government Debt and Assets Lukasz Rawdanowicz, Eckhard Wurzel, Patrice Ollivaud - OECD Economics Department Cost and Risk 2011
Manual On Debt Risk Indicators Enrique Cosio-Pascal - Senior Consultant on Public Debt Cost and Risk 2007
Trading of Derivatives by Public Administrations: A Project of Accounting Transparency Chiara Oldani - University of Viterbo "La Tuscia" Cost and Risk 2009
Recovering from Derivatives Funding: A Consistent Approach to DVA, FVA and Hedging Johan Gunnesson, Alberto Fernández Muñoz de Morales - BBVA, BBVA Cost and Risk 2014
Sovereign Correlations in Recent Recessions Taehan Bae, Ian Iscoe - Mathematics and Statistics University of Regina, Saskatchewan, Canada, Quantitative Research Algorithmics Inc., an IBM Company, Toronto, Canada Cost and Risk 2012

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