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Title Author/Affiliation Topic Year of Publication
How do central banks identify risks? A survey of indicators Bank of Spain Financial Analysis 2021
Do Green Bonds Act as a Hedge or a Safe Haven against Economic Policy Uncertainty? Evidence from the USA and China Inzamam Ul Haq, Supat Chupradit, Chunhui Huo - Comsats University Islamabad, Chiang Mai University, Liaoning University Financial Analysis 2021
Government Debt Maturity in Japan: 1965 to the Present Junko Koeda, Yosuke Kimura - Waseda University, Tokyo Institute of Technology Financial Analysis 2021
Numerical Fiscal Rules for Economic Unions: the Role of Sovereign Spreads Juan Carlos Hatchondo, Leonardo Martinez, Francisco Roch - Federal Reserve Bank of Richmond, International Monetary Fund Financial Analysis 2021
Fiscal Limits and the Pricing of Eurobonds Kevin Pallara, Jean-Paul Renne - University of Lausanne Financial Analysis 2021
The Evolution of Sovereign Debt Default: From the Thirteenth Century to the Modern Era Richard C. K. Burdekin, Richard J. Sweeney - Claremont McKenna College, Georgetown University Financial Analysis 2021
International Transmission of Interest Rates: the role of International Reserves and Sovereign Debt Afonso António, Huart, Florence, Tovar Jalles João, Stanek, Piotr - IFO Financial Analysis 2021
Interest Rate skewness and Biased beliefs Bauer, Michael D. , Chernov, Mikhail - Ce.Si.FO Financial Analysis 2021
The influence of Covid-19 on the Public Debt Growth and Default Risk: a Fiscal Sustainability analysis George Abuselidze - Batumi Shota Rustaveli State University Financial Analysis 2021
The Sovereign-Bank Nexus in the Face of the COVID-19 Pandemic Outbreak—Evidence from EU Member States Iustina Alina Boitan, Kamilla Marchewka-Bartkowiak - Bucharest University of Economic Studies, Poznań University of Economics and Business Financial Analysis 2021

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