Header and navigation menu

Page content

Documents Archive

Search mode by keywords

List of Document
Title Author/Affiliation Topic Year of Publication
Sovereign Debt Renegotiation and Credit Default Swaps Juliana Salomao - University of Minnesota Cost and Risk 2014
Risk Involved in International Debt Investment in Emerging Markets Muhammad Tahir Suleman Cost and Risk 2009
Dynamic Portfolio Management Approach to Optimal Fiscal Policy in Resource-Rich Countries David Animante Cost and Risk 2016
Sovereign ratings of advanced and emerging economies after the crisis Marlene Amstad; Cost and Risk 2015
Derivative Markets: The New Regulatory Paradigm Sumit Mehta;Simon Wilkinson Cost and Risk 2016
Country Risk: Determinants, Measures and Implications Aswath Damodaran; Stern School of Business Cost and Risk 2015

311-316 of 316 elements