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| Title | Author/Affiliation | Topic | Year of Publication |
|---|---|---|---|
| Impact of Disaster Risk on Sovereign Debt and default | Ming Qiu - University College London | Cost and Risk | 2016 |
| Managing South Africa’s Exposure to Eskom - How to Evaluate the Credit Risk from the Sovereign Guarantees? | Fritz Florian Bachmair, Cigdem Aslan, Mkhulu Maseko | Cost and Risk | 2019 |
| How does Sovereign Bond Market integration relate to fundamentals and CDS spreads? | Ines Chaieb, Vihang Errunza, Rajna Gibson Brandon - University of Geneva & SFI, Université McGill | Cost and Risk | 2017 |
| Assessing the extent of contagion of sovereign credit risk among BRICS countries | Lumengo Bonga-Bonga , Mathias Mandla Manguzvane - University of Johannesburg | Cost and Risk | 2018 |
| Italian risk spreads: fiscal versus redenomination risk | Daniel Gros - Centre for European Policy Studies (CEPS) | Cost and Risk | 2018 |
| Public Debt and Low Interest Rates | Olivier Blanchard - Peterson Institute for International Economics and MIT | Cost and Risk | 2018 |
| A cost-risk analysis of sovereign debt composition in CESEE | Sebastian Beer - Oesterreichische Nationalbank (OeNB) | Cost and Risk | 2018 |
| Rare disasters, financial development, and sovereign debt | Sergio Rebelo Neng Wang Jinqiang Yang - Northwestern University Columbia Business School Shanghai University of Finance and Economics | Cost and Risk | 2018 |
| Debt Management | Thordur Jonasson, Michael Papaioannou, Mike Williams - IMF, Independent consultant | Cost and Risk | 2018 |
| Risk Framework Analysis in the Management of Sovereign Debt: The Argentine Case | Emiliano Delfau - UCEMA | Cost and Risk | 2018 |
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