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Title Author/Affiliation Topic Year of Publication
Distributing Sovereign Debt in a Rising Debt Environment: Outcomes from Canada’s 2024 Debt Distribution Framework Review William Bradley, Jeffrey Gao - Bank of Canada Financial Analysis 2026
States as Financiers: International Lending in War and Peace Sebastian Horn, Carmen M. Reinhart, Christoph Trebesch - Kiel Institute, Harvard University Financial Analysis 2026
Macroeconomic shocks and the term premium in the US Kevin Pallara, Luca Rossi, Fabrizio Venditti - Banca d’Italia Macroeconomic Analysis 2026
The Birth of a Market: Euro Safe Assets between Liquidity and Euro Risk Umberto Cherubini, Angelo Baglioni - University of Bologna, Catholic University of Milan Financial Analysis 2026
Do GDP-Linked Bonds reduce Extreme Public Debt Risk? Evidence from Sub-Saharan Africa Yannick Kitutila - University of Orleans Primary Markets 2026
Virtuous Debt: Sovereign Borrowing and Unjust Enrichment Nathan B. Oman - William & Mary Law School Cost and Risk 2026
New-type urbanization and Local Government Debt Scale: Evidence from the National New Urbanization Comprehensive Pilot Area Policy Yijia Huo et al. - Zhejiang Gongshang University Subnational Debt 2026
The Legal Implications of the May 13, 2026, Statement on the Restructuring of Venezuelan Debt Jose Ignacio Hernandez G. - Boston College Debt Restructuring 2026
How Africa can Escape the Debt Trap Addis Fortune Debt Policy 2026
The Fiscal Architecture of American Decline: Debt, Deficits, and Structural Impossibility Bryan Byrne - Independent Scholar Cost and Risk 2026

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