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Title Author/Affiliation Topic Year of Publication
“Pop” Goes the National Debt Dirk Mateer, Wayne Geerling, Stefani Milovanska-Farrington - University of Texas at Austin, University of Tampa and IZA Macroeconomic Analysis 2025
Impact of Tax Revenue and Government Expenditure on Public Debt in Eastern Europe Naftaly Mose; Stoyan Tanchev; Michael Fumey - University of Eldoret, Southwest University, Northwestern Polytechnical University Macroeconomic Analysis 2025
Foreign Aid and Conflicts: The Effects of 9/11 on Donor Behavior Rabah Arezki et al - CNRS Macroeconomic Analysis 2025
Flexible asset purchases and repo market functioning Adriana Grasso, Andrea Poinelli - European Central Bank Cash Management 2025
Sovereigns Climate Vulnerability Signals Ed Parker, Rob Shearman, Nasir Rajah - Fitch Ratings Investor Relations and Rating Agencies 2025
The HIPC Initiative and China's Emergence as a Lender Tito Cordella, Maia Cufre, Andrea Presbitero - Johns Hopkins University - Bologna Center, Northwestern University, IMF, CEPR Debt Restructuring 2025
Debt For What Swaps? Guiding Principles for the Allocation of Debt Swaps Resources Adil Ababou - Gates Foundation Financial Analysis 2025
Monetary–fiscal interaction and the liquidity of government debt Cristiano Cantore, Edoardo Leonardi - Sapienza University of Rome, LSE Macroeconomic Analysis 2025
Has New Public Financial Management had its Day? Julie Cooper, Tim Youngberry - IMF Accounting Statistics Reporting and Auditing 2025
Investment Outlook: Challenging times in government bond markets Daniel Casali - Evelyn Partners Financial Analysis 2025

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