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| Title | Author/Affiliation | Topic | Year of Publication |
|---|---|---|---|
| The Rewards of Fiscal Consolidation: Sovereign Spreads and Confidence Effects | Antonio David, Jaime Guajardo, Juan Yepez - International Monetary Fund | Financial Analysis | 2019 |
| A Framework For Debt-Maturity Management | Saki Bigio, Galo Nuño, Juan Passadore - UCLA, Banco de España, EIEF | Financial Analysis | 2019 |
| Inflation-Linked versus Nominal Bond Yields: On Liquidity and Inflation Risk Premiums Around the World | Geert Bekaert, Andrey Ermolov - Columbia Business School, Fordham University | Financial Analysis | 2019 |
| Marx on Public Debt: fiscal expropriation and capital reproduction | Guglielmo Forges Davanzati, Rosaria Patalano - Università del Salento, University of Naples Federico II | Financial Analysis | 2019 |
| Impact of international and local conditions on sovereign bond spreads: International evidence | Selma Izadi, M. Kabir Hassan - University of New Orleans | Financial Analysis | 2018 |
| Official demand for US debt: implications for US real rates | Iryna Kaminska, Gabriele Zinna - Bank of England, Bank of Italy | Financial Analysis | 2019 |
| Extracting Default Probabilities from Sovereign Bonds | Bernardo Meres, Caio Almeida - Gavea Investimentos, Escola de Pos-Graduacao em Economia, Fundacao Getulio Vargas | Financial Analysis | 2008 |
| The determinants of Sovereign Risk Premium in African Countries | Jane Mpapalika, Christopher Malikane - University of the Witwatersrand | Financial Analysis | 2019 |
| The interactions and trade-offs of sovereign credit default swap (cds) and bond spreads in a dynamic context | Ioannis A. Tampakoudis, Andrius Tamošiūnas, Demetres N. Subeniotis, Ioannis G. Kroustalis - Department of Business Administration, University of Macedonia, Thessaloniki, Greece Department of Management, Vilnius Gediminas Technical University, Vilnius, Lithuania | Financial Analysis | 2018 |
| Are Sovereign Credit Ratings Pro-cyclical? A controversial issue revisited in light of the current financial crisis | Paolo Giacomino - “Tor Vergata” University of Rome | Financial Analysis | 2012 |
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