Header and navigation menu

Page content

Documents Archive

Search mode by keywords

List of Document
Title Author/Affiliation Topic Year of Publication
Sovereign risk and bank risk-taking Anil Ari - University of Cambridge Cost and Risk 2016
Methods for analysing the structure of the central government debt Thomas Franzén, Ingrid Bonde, Christine Holm, Per-Olof Jönsson, Bengt Rådstam - Swedish National Debt Office, Swedish National Debt Office, Swedish National Debt Office, Swedish National Debt Office, Swedish National Debt Office Cost and Risk 1999
Assessing the Sensitivity of Hungarian Debt Sustainability to Macroeconomic Shocks under Two Fiscal Policy Reactions Pierre Beynet, Edouard Paviot - Economics Department of the OECD, OECD External Consultant Cost and Risk 2012
Interest Rate Costs and the Optimal Maturity Structure of Government Debt Yves Nosbusch - Department of Economics, Littauer Center, Harvard University Cambridge, Email nosbusch@fas.harvard.edu Cost and Risk 2005
Managing Default Risk Anna Zabai - BIS Cost and Risk 2014
European Yield Differentials and Basis Risk: A Hedging Perspective Yiu Chung Cheung, Frank de Jong - University of Amsterdam, University of Amsterdam and CEPR Cost and Risk 2005
Turkish treasury simulation model for debt strategy analysis Emre Balibek, Alper Hamdi Memis - World Bank, World Bank Cost and Risk 2012
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

251-260 of 288 elements