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| 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 |
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