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Title Author/Affiliation Topic Year of Publication
How to Capture Macro-Financial Spillover Effects in Stress Tests? Heiko Hesse, Ferhan Salman, Christian Schmieder - International Monetary Fund, International Monetary Fund, International Monetary Fund Cost and Risk 2014
Debt Sustainability under Catastrophic Risk: The Case for Government Budget Insurance Eduardo Borensztein, Eduardo Cavallo, Patricio Valenzuela Cost and Risk 2008
The hunt for duration: not waving but drowning? Dietrich Domanski, Hyun Song Shin - BIS, BIS Cost and Risk 2015
Inflation Hedging for Long-Term Investors Alexander P. Attie, Shaun K. Roache - International Monetary Fund, International Monetary Fund Cost and Risk 2009
Overcoming the Banking Crisis in Ireland Muge Adalet McGowan - Economist in the Economics Department of the OECD Cost and Risk 2011
Intertwined Sovereign and Bank Solvencies in a Model of Self-Fulfilling Crisis Gustavo Adler - IMF Cost and Risk 2012
Market perception of sovereign credit risk in the euro area during the financial crisis Gonzalo Camba-Méndez, Dobromił Serwa - European Central Bank, National Bank of Poland Cost and Risk 2014
Credit and liquidity risks in euro area sovereign yield curves Alain Monfort, Jean-Paul Renne - Banque de France, Banque de France Cost and Risk 2011
Sudden stops, time inconsistency, and the duration of sovereign debt Juan Carlos Hatchondo, Leonardo Martinez - Federal Reserve Bank of Richmond, International Monetary Fund Cost and Risk 2013
How Did Markets React to Stress Tests? Bertrand Candelon, Amadou N.R. Sy - IPAG Business School, International Monetary Fund Cost and Risk 2015

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