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Title Author/Affiliation Topic Year of Publication
A New Approach on Country Risk Monitoring Christos E. Kountzakis, Christos Floros - University of the Aegean, Hellenic Mediterranean University Financial Analysis 2025
Public debt burden and crisis severity Álvaro Fernández-Gallardo, Iván Payá - Banco de España, Universidad de Alicante Financial Analysis 2025
The Risk Sensitivity of Global Liquidity flows: Heterogeneity, Evolution and drivers Stefan Avdjiev et al. - BIS, Federal Reserve Bank-New York, Banca d'Italia Financial Analysis 2025
What is the Basis Trade? Torsten Sløk - Apollo Chief Economist Financial Analysis 2025
Macro trading signal optimization: basic statistical learning methods Ralph Sueppel - Macrosynergy Financial Analysis 2025
EM sovereign bond allocation with macro risk premium scores Ralph Sueppel - Macrosynergy Financial Analysis 2025
Stock and Sovereign Returns Linkages: Time-Varying Causality and Extreme-Quantile Determinants António Afonso et al. - University of Lisbon, University of Lodz Financial Analysis 2025
Fiscal Determinants of Domestic Sovereign Bond Yields in Emerging Market and Developing Economies Manabu Nose, Jeta Menkulasi - IMF Financial Analysis 2025
Beyond Misconceptions: Why Asia-Pacific Investment Grade is a Hidden Gem Dengzhao Pan, Tal Reback - KKR Financial Analysis 2025
Sovereign bond yield and cryptocurrency returns within the frontier West African monetary zone: a dynamic contagion analysis Akwasi Adom-Dankwa et al. - Ghana Institute of Management and Public Administration Financial Analysis 2025

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