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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
Alternative Inflation Hedging Portfolio Strategies: Going Forward Under Immoderate Macroeconomics | Nicolas Fulli-Lemaire - University of Paris | Cost and Risk | 2012 |
Summary of key EU and US regulatory developments relating to derivatives | James Doyle & Others - Hogan Lovells | Cost and Risk | 2016 |
Bank and Sovereign Debt Risk Connection | Matthieu Darracq Paries, Ester Faia, Diego Rodriguez-Palenzuela - European Central Bank (ECB), Goethe University Frankfurt, European Central Bank (ECB) | Cost and Risk | 2013 |
A Theory of Rollover Risk, Sudden Stops, and Foreign Reserves | Sewon Hur, Illenin O. Kondo - University of Pittsburgh, Federal Reserve Board | Cost and Risk | 2013 |
Default and the Maturity Structure in Sovereign Bonds | Cristina Arellano, Ananth Ramanarayanan - Federal Reserve Bank of Minneapolis & University of Minnesota, Federal Reserve Bank of Dallas | Cost and Risk | 2010 |
Risk Aversion and Financial Crisis | Luigi Guiso - Einaudi Institute for Economics and Finance | Cost and Risk | 2014 |
Sovereign risk and debt sustainability: warning levels for Romania | Gheorghe Zaman, George Georgescu - Institute of National Economy, Institute of National Economy | Cost and Risk | 2011 |
Operative Principles of Islamic Derivatives - Towards a Coherent Theory | Andreas Jobst, Juan Sole - Bermuda Monetary Authority, Secretariat to the Financial Stability Board (FSB), Bank for International Settlements (BIS) | Cost and Risk | 2012 |
Risk Management Optimization for Sovereign Debt Restructuring | Andrea Consiglio, Stavros A. Zenios - University of Palermo, University of Cyprus | Cost and Risk | 2014 |
Debt Management in Japan: How to Cope with Interest Rate Risk | Mariko Fujii - University of Tokyo | Cost and Risk | 2004 |
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