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| Title | Author/Affiliation | Topic | Year of Publication |
|---|---|---|---|
| Geopolitical risk and BTP yields: A long-run cointegration analysis | Simona Arduini, Tommaso Beck, Matilda Shini - University of Roma Tre, University of Bari Aldo Moro | Financial Analysis | 2026 |
| Marine Debt-for-Nature Swaps: Fiscal Promise and Structural Reality | Priya Miriam Noronha - ORF’s Oceans Initiative | Financial Analysis | 2026 |
| How to decouple devaluation from debt for action on net zero | Mohamed Maait, Seham Farouk - IMF, Egypt Government | Multilateral Financing | 2026 |
| Not all reserves are born equal: Why the source matters for sovereign risk | Eduardo Levy Yeyati - Tella University | Macroeconomic Analysis | 2026 |
| A Stochastic Approach to Debt Sustainability in EU Countries | Inés P. Murillo Huertas, Josep Raymond, Juan D. Mateos - University of Extremadura, Autonomous University of Barcelon | Macroeconomic Analysis | 2026 |
| Unveiling the impact of public debt on donor funding for renewable energy in African Countries | Riadh Brini - Majmaah University | Economic Policies | 2026 |
| Brokers on the Ground Chinese Commercial Creditors’ Entry into Africa Sovereign Development Finance | Tianyi Wu - Boston University | Cost and Risk | 2026 |
| Global pension asset allocations and debt markets | Brian Hardy et al. - BIS | Cost and Risk | 2026 |
| The euro-area repo market: structure, participants and interlinkages | Lorenzo Caverni, Annalisa De Nicola, Mattia Persico - Banca d’Italia | Financial Analysis | 2026 |
| Sovereign Debt – Towards More Complex and Costly Capital Structures? | Lazard | Debt Policy | 2026 |
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