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Title Author/Affiliation Topic Year of Publication
December 2017 BIS Quarterly Review: Paradoxical tightening echoes bond market "conundrum" BIS Bank for International Settlements Financial Analysis 2017
Financial Dominance Markus K. Brunnermeier - Department of Economics, Princeton University, USA Financial Analysis 2016
Dissecting long-term Bund yields in the run-up to the ECB's Public Sector Purchase Programme Wolfgang Lemke, Thomas Werner - European Central Bank Financial Analysis 2017
A Continuous Time Model of Sovereign Debt Gideon Bornstein - Northwestern University Financial Analysis 2017
Capital flows and sovereign debt markets: evidence from index rebalancings Lorenzo Pandolfi , Tomas Williams - Department of Economics and Business, Universitat Pompeu Fabra Department of Economics, George Washington University Financial Analysis 2017
The dynamics of government bond yields in the euro zone Tanweer Akram, Anupam Das - Thrivent Financial , Mount Royal University, Canada Financial Analysis 2017
The reinforcement effect of international reserves for financial stability Xingwang Qian, Andreas Steiner - University of Groningen Financial Analysis 2017
Sovereign debt issuance and selective default Wojtek Paczos Kirill Shakhnov - European University Institute Financial Analysis 2017
Default Risk on Finnish Government Foreign Currency Debt Erja Saukkonen - Bank of Finland Financial Analysis 2017
The Relative Pricing of Sovereign Credit Risk after the Eurozone Crisis Raffaele Corvino, Francesco Ruggiero - City University London, University of Naples Federico II Financial Analysis 2017

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