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Title Author/Affiliation Topic Year of Publication
Regulation, credit risk transfer with CDS, and bank lending Thilo Pausch, Peter Welzel - Deutsche Bundesbank, University of Augsburg Active Debt Management 2012
Buyback and Exchange - Policies, Procedures and Practices among Oecd Public Debt Managers Hans J. Blommestein, Mehmet Emre Elmadag, Jacob Wellendorph Ejsing - OECD Active Debt Management 2012
Risk Management Practices Concerning Assets and Liabilities of Debt Managers in OECD Countries Financial Markets Division Department of Finance of Canada Active Debt Management 2002
Danish Government Debt Management Strategy 2006 NationalBank Danmarks Active Debt Management 2006
Managing Sovereign Credit Risk in Bond Portfolios Benjamin Bruder, Pierre Hereil, Thierry Roncalli - Research & Development Lyxor Asset Management, Paris, Research & Development Lyxor Asset Management, Paris, Research & Development Lyxor Asset Management, Paris Active Debt Management 2011
A Comparative-Advantage Approach to Government Debt Maturity Robin Greenwood, Samuel G. Hanson, Jeremy C. Stein - Harvard University and NBER, Harvard University, Harvard University and NBER Active Debt Management 2010
Information Percolation in Segmented Markets Semyon Malamud, Gustavo Manso, Darrell Duffie Active Debt Management 2010
Performance-Sensitive Government Bonds - A New Proposal for Sustainable Sovereign Debt Management Matthias Bank, Alexander Kupfer, Rupert Sendlhofer - University of Innsbruck, Austria, University of Innsbruck, Austria, University of Innsbruck, Austria Active Debt Management 2011
Confidence Crises and Public Debt Management Francesco Giavazzi, Marco Pagano - Department of Economics, University Bocconi (Milan), IGIER, CEPR, NBER: francesco.giavazzi@unibocconi.it, Faculty of Economics, University of Naples - "Federico II": mrpagano@tin.it Active Debt Management 1990
Debt and Macroeconomic Stability: Debt and the Business Cycle Volker Ziemann Active Debt Management 2012

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