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| Title | Author/Affiliation | Topic | Year of Publication |
|---|---|---|---|
| Rating Agency Disagreement on Sovereign Debt levels | Marion Boisseau-Sierra, Jenny Chu, Shivaram Rajgopal - University of Cambridge, Columbia University | Cost and Risk | 2026 |
| India's Green Bonds: Cheaper Debt or Fiscal Mirage? | Ananya Rathour, Aose Anil Chauhan - Independent author, Christ University | Primary Markets | 2026 |
| Multiscale Nonlinear Forecasting of Government Bond Yields and Volatility via a Hybrid VMD–LSTM Framework | Yingjie Xu et al. - University of Jinan | Financial Analysis | 2026 |
| Collateral’s double life in euro repo | Georgios Angelis Alexiou, Sofia Marques Pereira, Victor Rodrigues-Gomes - Goethe University Frankfurt, Axpo Group | Active Debt Management | 2026 |
| Microeconomic Policies and Macroeconomic Growth | Doug Elmendorf - Harvard University | Macroeconomic Analysis | 2026 |
| The International Monetary Fund and World Bank Are Reforming Their Main Debt Sustainability Assessment Tool—Here's why it matters | Anahí Wiedenbrüg, Fernando Morra - IISD | Multilateral Financing | 2026 |
| Productive Finance for the Belt and Road Initiative: Reexamining China’s Debt Sustainability Framework | Yan Liang - Boston University | Institutional and Organizational Framework | 2026 |
| Better Debt Shock Absorbers for Poor Countries: A Proposal | Nancy Lee et al. - Center for Global Development | Financial Analysis | 2026 |
| When perception becomes penalty in sovereign credit ratings | Arend Kulenkampff - Nature Finance | Cost and Risk | 2026 |
| The Catalytic Effect of Blended Finance | Ugo Panizza - Geneva Graduate Institute | Cost and Risk | 2026 |
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