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Title Author/Affiliation Topic Year of Publication
Euro area sovereign bond risk premia during the Covid-19 pandemic Stefano Corradin, Niklas Grimm, Bernd Schwaab - ECB Financial Analysis 2021
US Government Debt valuation puzzle Zhengyang Jiang, Hanno Lustig, Stijn Van Nieuwerburgh, Mindy Z. Xiaolan - Stanford Business School Financial Analysis 2021
The COVID-19 crisis and banking system resilience OECD Financial Analysis 2021
Monetary policy surprises and their transmission through term premia and expected interest rates Iryna Kaminska, Haroon Mumtaz, Roman Sustek - Bank of England Financial Analysis 2021
Spillover effects of Sovereign Bond purchases in the Euro Area Yvo Mudde, Anna Samarina, Robert Vermeulen - De Nederlandsche Bank Financial Analysis 2021
EMU deepening and sovereign debt spreads: using political space to achieve policy space Iván Kataryniuk, Víctor Mora-Bajén, Javier J. Pérez - Banco de España Financial Analysis 2020
The Impact of Oil Shocks on Sovereign Default Risk Sultan Abdulaziz M Alturki, and Ann Marie Hibbert - The World Bank, West Virginia University Financial Analysis 2021
Sovereign credit and exchange rate risks: evidence from Asia-Pacific local currency bonds Mikhail Chernov, Drew Creal, Peter Hördahl - University of California Los Angeles (UCLA), University of Notre Dame, Bank for International Settlements Financial Analysis 2021
Revisiting the Stabilization Role of Public Banks: Public Debt Matters H. Elif Ture - International Monetary Fund Financial Analysis 2021
Financial Spillover and Contagion Risks in the Euro Area in 2007-2019 Roman Garcia, Dimitri Lorenzani, Daniel Monteiro, Francesco Perticari, Bořek Vašíček, Lukas Vogel - European Commission Financial Analysis 2021

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