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| Title | Author/Affiliation | Topic | Year of Publication |
|---|---|---|---|
| The Sovereign-Bank Nexus in EMDEs: What Is It, Is It Rising, and What Are the Policy Implications ? | Erik H.B Feyen, Igor Zuccardi - World Bank | Cost and Risk | 2019 |
| Risky bank guarantees | Taneli Mäkinen, Lucio Sarno, Gabriele Zinna - Bank of Italy, University of Cambridge | Cost and Risk | 2019 |
| Assessing and Managing Credit Risk from Contingent Liabilities: A Focus on Government Guarantees | The World Bank Treasury - Public Debt Management Advisory | Cost and Risk | 2019 |
| Public debt and the risk premium: A dangerous doom loop | Cinzia Alcidi, Daniel Gros - CEPS | Cost and Risk | 2019 |
| Measuring connectedness of euro area sovereign risk | Rebekka Buse, Melanie Schienle - Karlsruhe Institute for Technology, Institute of Economics (ECON), Econometrics and Statistics | Cost and Risk | 2019 |
| The Feedback Loop between the Sovereign and Banking Sector Credit Risk in Europe | Gianpiero Fasulo - LUISS Guido Carli Department of Economics and Finance | Cost and Risk | 2017 |
| A Joint Foreign Currency Risk Management Approach for Sovereign Assets and Liabilities | M.Coskun Cangoz, Olga Sulla, Chun Lan Wang, Christopher Dychala - World Bank | Cost and Risk | 2019 |
| Financial Protection of the State against Natural Disasters: A Primer | Francis Ghesquiere and Olivier Mahul - World Bank | Cost and Risk | 2010 |
| Sovereign Catastrophe Risk Pools : World Bank Technical Contribution to the G20 | World Bank | Cost and Risk | 2017 |
| Evaluating Sovereign Disaster Risk Finance Strategies – A Framework | Daniel Clarke, Olivier Mahul, Richard Poulter, Tse Ling Teh - World Bank | Cost and Risk | 2016 |
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