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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
Incorporating political risk into analysis of sovereign debt sustainability | Samantha Ajovala et al. - University of Palermo | Macroeconomic Analysis | 2024 |
A hidden dragon: China’s spillovers on the financial markets of emerging economies | Rodolfo Campos et al. - Bank of Spain | Cost and Risk | 2024 |
Market Volatility vs. Economic Growth: The Role of Cognitive Bias | Neha Parashar et al. - Deemed University | Financial Analysis | 2024 |
Optimal Monetary and Fiscal Policies to Maximise Non-Parallel Risk Premia in Sovereign Bond Markets | Sanveer Hariparsad, Eben Maré - University of Pretoria | Financial Analysis | 2024 |
Decentralised dealers? Examining liquidity provision in decentralised exchanges | Matteo Aquilina et al. - BIS | Financial Analysis | 2024 |
Sovereign Debt: Is The Austerity Versus Growth Dilemma Back? | Frank Gill, Lisa M Schineller, Riccardo Bellesia - S&P Global | Debt Policy | 2024 |
Greece, Ireland, Portugal and Cyprus: Crisis and Recovery | Daniela Filip et al. - ECB | Debt Crisis | 2024 |
A further examination of sovereign domestic and external debt defaults | Yaseen Ghulam - University of Portsmouth | Economic Policies | 2024 |
Fiscal policy and public debt: Government investment is most effective to promote sustainability | Giovanna Ciaffi, Matteo Deleidi, Lorenzo Di Domenico - University of L′Aquila, University of Bari Aldo Moro, Catholic University of the Sacred Heart | Debt Policy | 2024 |
Bond supply, yield drifts and liquidity provision before macroeconomic announcements | Dong Lou et al. - HKUST & LSE | Macroeconomic Analysis | 2024 |
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