41 results with "sovereign debt"
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COVID-induced sovereign risk in the euro area: When did the ECB stop the spread? European Economic Review, vol. 137, August 2021 Aymeric Ortmans, Fabien Tripier
Risk Shocks and Divergence between the Euro Area and the US in the aftermath of the Great Recession CEPII Working Paper, N°2021-04, March 2021 Thomas Brand, Fabien Tripier
Understanding China's role in recent debt relief operations: A case study analysis International Economics, Vol. 166, p.23-41, Q2 2021 Gatien Bon, Gong Cheng
COVID-Induced Sovereign Risk in the Euro Area: When Did the ECB Stop the Contagion? CEPII Working Paper, N°2020-11, October 2020 Aymeric Ortmans, Fabien Tripier
European Banks and the Covid-19 Crash Test CEPII Policy Brief, N°32, May 2020 Jézabel Couppey-Soubeyran, Erica Perego, Fabien Tripier
Role of capital flight as a driver of sovereign bond spreads in Latin American countries International Economics, Vol. 162, p.15-33, Q2 2020 Hajer Dachraoui, Mounir Smida, Maamar Sebri
Sovereign Risk and Asset Market Dynamics in the Euro Area Journal of International Money and Finance, vol. 109, p.102234, 2020 Erica Perego
Role of capitalflight as a driver of sovereign bond spreads in LatinAmerican countries International Economics, Vol. 00, p.15-33, Q3-2 2020 Hajer Dachraoui, Mounir Smida, Maamar Sebri
Addressing macroeconomic imbalances within the euro area: still a long road ahead Le Blog du CEPII, Post, April 15, 2019 Virginie Coudert, Cécile Couharde, Carl Grekou, Valérie Mignon
The design of a sovereign debt restructuring mechanism for the euro area: Choices and trade-offs CEPII Policy Brief, N°25, March 2019 Christophe Destais, Frederik Eidam, Friedrich Heinemann
Sovereign Risk and Asset Market Dynamics in the Euro Area CEPII Working Paper, N°2018-18, November 2018 Erica Perego
Sovereign debt in emerging market countries: not all of them are serial defaulters Applied Economics, vol. 50(59), Taylor & Francis, p.6406-6443, 2018 Gilles Dufrénot, Anne-Charlotte Paret Onorato
Are State-Contingent Sovereign Bonds the Solution to Avoid Government Debt Crisis? CEPII Policy Brief, N°19, November 2017 Christophe Destais
Markets are Smart! Structural Reforms and Country Risk CEPII Working Paper, N°2016-23, September 2016 Christopher Findlay, Silvia Sorescu, Camilo Umana Dajud
In search of a liquid asset for European financial markets Le Blog du CEPII, Post, July 15, 2016 Francesco Molteni
Is the European banking system robust? An evaluation through the lens of the ECB?s Comprehensive Assessment International Economics, Vol. 147, p.126–144, Q3 2016 Guillaume Arnould, Salim Dehmej
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