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List of Document
Title Author/Affiliation Topic Year of Publication
Behavioural Finance: a review Sujata Kapoor, Jaya M. Prosad - Jaypee Business School, Delhi Metropolitan Education Financial Analysis 2017
Behavioral finance: finance with normal people Meir Statman - Leavey School of Business, Santa Clara University Financial Analysis 2014
Remittance and bond yields spreads in emerging market economies Hippolyte Wenéyam Balima, Jean-Louis Combes - IMF, Université Clermont Auvergne Financial Analysis 2017
Management of Fiscal and Financial Risks Generated by PPPs: Conceptual Issues and Country Experiences Edgardo C. Demaestri, Cynthia Moskovits, Jimena Chiara - IDB, FIEL Financial Analysis 2018
Government debt and banking fragility: the spreading of strategic uncertainty Russell Cooper, Kalin Nikolov - European University Institute, European Central Bank Financial Analysis 2018
Sovereign CDS Calibration under a Hybrid Sovereign Risk Model Gian Luca De Marchi, Marco Di Francesco, Sidy Diop, Andrea Pascucci - UnipolSai Assicurazioni SpA, University of Bologna Financial Analysis 2018
Limits to government debt sustainability in middle-income countries Jean-Marc Fournier Manuel Bétin Financial Analysis 2018
The robustness of the sovereign-bank interconnection: evidence from contingent claims analysis Gómez-Puig M Singh M Sosvilla-Rivero S - IREA Institut de Rercerca en Economia Aplicada, Universidad Complutense de Madrid Financial Analysis 2018
Government of Canada Fixed-Income market ecology Léanne Berger-Soucy, Corey Garriott André Usche - Bank of Canada Financial Analysis 2018
Banks, government Bonds, and Default: what do the data say? Nicola Gennaioli Alberto Martin Stefano Rossi - UniversitàBocconi CREI Financial Analysis 2018

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