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Title Author/Affiliation Topic Year of Publication
Diversifying sovereign risk in the Euro area: empirical analysis of different policy proposals Christian E. Castro, Ángel Estrada García, Gonzalo Fernández Dionis - CAIXABANK, Banco De España, GWU Institutional and Organizational Framework 2025
China's Lending to Developing Countries: From Boom to Bust Sebastian Horn, Carmen M. Reinhart, Christoph Trebesch - University of Hamburg, Harvard Kennedy School, Kiel University Cost and Risk 2025
Putting debt-strapped countries on a sustainable path Indermit Gill - World Bank Debt Crisis 2025
Public Debt and Economic Growth in Africa: The FDI Effect Emmanuel Oluwafemi, Libo Xu - Lakehead University Macroeconomic Analysis 2025
The US is in worse fiscal shape than Italy Laurence Kotlikoff - Boston University Macroeconomic Analysis 2025
What’s the Outlook for European Bonds in 2026? Sara Silano - Morningstar Macroeconomic Analysis 2025
Building an Effective Sovereign Borrowers’ Club Kharas, Mahmoud Mohieldin - Center for Sustainable Development (Brookings Institution), UN Special Envoy on Financing Sustainable Development and Co-Chair Expert Group on Debt Institutional and Organizational Framework 2025
The Geopolitics of Debt Sustainability Analysis Mengfan Cheng, Peter Rosendorff, Sujeong Shim - NYU Financial Analysis 2025
A European safe asset will require bolder steps Giovanni Bonfanti - Columbia University Institutional and Organizational Framework 2025
Revisiting the fiscal drivers of subnational borrowing: a comparative analysis of Italian regions and the American states Chiara Oldani, Temirlan Moldogaziev - University of Viterbo “La Tuscia”, Indiana University Macroeconomic Analysis 2025

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