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| Title | Author/Affiliation | Topic | Year of Publication |
|---|---|---|---|
| A macrofinance view of US Sovereign CDS premiums | Mikhail Chernov Lukas Schmid Andres Schneider - Anderson School of Management, UCLA, and CEPR Fuqua School of Business, Duke University Economics Department, UCLA | Financial Analysis | 2016 |
| The Primary Market of Italian Treasury Bonds: an empirical study of the Uniform-Price Auction | Riccardo Pacini - Department of Economics and Institutions, University of Rome “Tor Vergata” | Financial Analysis | 2005 |
| Interest rates and foreign spillovers | Roberto A. De Santis, Srečko Zimic - European Central Bank | Financial Analysis | 2019 |
| The Effects of Macroeconomic, Fiscal and Monetary Policy Announcements on Sovereign Bond Spreads: An Event Study from the EMU | António Afonso, João Tovar Jalles, Mina Kazemi - ISEG University of Lisbon, Centre for Globalization and Governance Lisbon | Financial Analysis | 2019 |
| Sovereigns and Financial Intermediaries Spillovers | Hamid R Tabarraei , Abdelaziz Rouabah , Olivier Pierrard - International Monetary Fund, Banque Centrale du Luxenbourg | Financial Analysis | 2019 |
| The Limit of Evil: Effects of Inflation and Public Debt on Capital Market Development | David Leung, Alfred Wong, Jiayue Zhang, Wenzhe Li - Hong Kong Monetary Authority, Tsinghua University | Financial Analysis | 2019 |
| Sovereign Bonds Since Waterloo | Josefin Meyer, Carmen M. Reinhart, Christoph Trebesch - Kiel Institute Germany, Harvard University USA | Financial Analysis | 2019 |
| On money, debt, trust and central banking | Claudio Borio - BIS | Financial Analysis | 2019 |
| Maturity structure and Debt renegotiation in Sovereign Bonds | Taghi Farzad - University of California | Financial Analysis | 2018 |
| From cash- to securities-driven euro area repo markets: the role of financial stress and safe asset scarcity | Claus Brand, Lorenzo Ferrante, Antoine Hubert - ECB | Financial Analysis | 2019 |
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