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Title Author/Affiliation Topic Year of Publication
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
A Theory of Rollover Risk, Sudden Stops, and Foreign Reserves Sewon Hur, Illenin O. Kondo - University of Pittsburgh, Federal Reserve Board Cost and Risk 2013
Default and the Maturity Structure in Sovereign Bonds Cristina Arellano, Ananth Ramanarayanan - Federal Reserve Bank of Minneapolis & University of Minnesota, Federal Reserve Bank of Dallas Cost and Risk 2010
Risk Aversion and Financial Crisis Luigi Guiso - Einaudi Institute for Economics and Finance Cost and Risk 2014
Sovereign risk and debt sustainability: warning levels for Romania Gheorghe Zaman, George Georgescu - Institute of National Economy, Institute of National Economy Cost and Risk 2011
Operative Principles of Islamic Derivatives - Towards a Coherent Theory Andreas Jobst, Juan Sole - Bermuda Monetary Authority, Secretariat to the Financial Stability Board (FSB), Bank for International Settlements (BIS) Cost and Risk 2012
Risk Management Optimization for Sovereign Debt Restructuring Andrea Consiglio, Stavros A. Zenios - University of Palermo, University of Cyprus Cost and Risk 2014

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