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Title Author/Affiliation Topic Year of Publication
European Financial Market Integration: A Closer Look at Government Bonds in Eurozone Countries Sebastian Weber - German Institute for Economic Research Financial Analysis 2009
Sovereign Collateral as a Trojan Horse: Why Do We Need an LCR Christian Friedrich Carl Buschmann; Christian Schmaltz - Frankfurt School of Finance & Management gemeinnützige GmbH; University of Aarhus Financial Analysis 2016
Don't Cry for Argentina (or Other Sovereign Borrowers): Lessons from a Previous Era of Sovereign Debt Contract Benjamin Remy Chabot; Veronica Santarosa - Federal Reserve Bank of Chicago; University of Michigan Law School Financial Analysis 2016
Lessons from the Financial Crisis Arthur M. Berd - Head of Macro Volatility Strategies at Capital Fund Management (CFM) Financial Analysis 2010
Rating Sovereign Debt in a Monetary Union – Original Sin by Transnational Governance Finn Marten Körner, Hans‐Michael Trautwein - ZenTra, Carl von Ossietzky Universität Oldenburg Financial Analysis 2014
The Effect of Government Debt, External Debt and their Interaction on OECD Interest Rates David Turner, Francesca Spinelli - Oecd, Oecd Financial Analysis 2013
Identifying Speculative Bubbles: A Two-Pillar Surveillance Framework Brad Jones - International Monetary Fund Financial Analysis 2014
The Market Reaction to Legal Shocks and Their Antidotes: Lessons from the Sovereign Debt Market Michael H. Bradley, James D. Cox, Mitu Gulati - Duke University, Duke University School of Law, Duke University School of Law Financial Analysis 2008
The Pricing of Non-Price Terms in Sovereign Bonds: The Case of the Greek Guarantees Stephen J. Choi ; G. Mitu Gulati - New York University School of Law ; Financial Analysis 2016
Government Bond Yield Spreads: A Survey Riccardo Lo Conte Financial Analysis 2012

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