The costs of sovereign default /
Na minha lista:
Autor principal: | Borensztein, Eduardo |
---|---|
Outros Autores: | Panizza, Ugo |
Formato: | Recurso Eletrônico livro eletrônico |
Idioma: | inglês |
Publicado em: |
[Washington, District of Columbia] :
International Monetary Fund,
2008.
|
coleção: | IMF working paper ;
WP/08/238 |
Assuntos: | |
Acesso em linha: | An electronic book accessible through the World Wide Web; click to view |
Tags: |
Adicionar Tag
Sem tags, seja o primeiro a adicionar uma tag!
|
Registros relacionados
Government debt in emerging market countries a new data set /
por: Jeanne, Olivier
Publicado em: (2006)
por: Jeanne, Olivier
Publicado em: (2006)
Distance-to-default in banking a bridge too far? /
por: Chan-Lau, Jorge A.
Publicado em: (2006)
por: Chan-Lau, Jorge A.
Publicado em: (2006)
Government debt and long-term interest rates
por: Kinoshita, Noriaki
Publicado em: (2006)
por: Kinoshita, Noriaki
Publicado em: (2006)
Reserve requirements, the maturity structure of debt, and bank runs /
por: Al-Zein, Eza
Publicado em: (2008)
por: Al-Zein, Eza
Publicado em: (2008)
Fundamentals-based estimation of default probabilities a survey /
por: Chan-Lau, Jorge A.
Publicado em: (2006)
por: Chan-Lau, Jorge A.
Publicado em: (2006)
Is systematic default risk priced in equity returns? a cross-sectional analysis using credit derivatives prices /
por: Chan-Lau, Jorge A.
Publicado em: (2006)
por: Chan-Lau, Jorge A.
Publicado em: (2006)
A model of sovereign debt in democracies /
por: Alichi, Ali
Publicado em: (2008)
por: Alichi, Ali
Publicado em: (2008)
Public debt, money supply, and inflation a cross-country study and its application to Jamaica /
por: Panth, Sanjaya
Publicado em: (2006)
por: Panth, Sanjaya
Publicado em: (2006)
The Option-iPoD : the probability of default implied by option prices based on entropy /
por: Capuano, Christian
Publicado em: (2008)
por: Capuano, Christian
Publicado em: (2008)
How effective is fiscal policy response in systemic banking crises?
por: Baldacci, Emanuele
Publicado em: (2009)
por: Baldacci, Emanuele
Publicado em: (2009)
Strategic interactions between an independent central bank and a myopic government with government debt /
por: Stehn, Sven Jari
Publicado em: (2008)
por: Stehn, Sven Jari
Publicado em: (2008)
A primer for risk measurement of bonded debt from the perspective of a sovereign debt manager
por: Papaioannou, Michael G.
Publicado em: (2006)
por: Papaioannou, Michael G.
Publicado em: (2006)
Pension privatization and country risk /
Publicado em: (2008)
Publicado em: (2008)
Probabilistic sustainability of public debt a vector autoregression approach for Brazil, Mexico, and Turkey /
por: Tanner, Evan
Publicado em: (2006)
por: Tanner, Evan
Publicado em: (2006)
Primary surplus behavior and risks to fiscal sustainability in emerging market countries a "fan-chart" approach /
por: Celasun, Oya
Publicado em: (2006)
por: Celasun, Oya
Publicado em: (2006)
Bank risk-taking and competition revisited new theory and new evidence /
por: Boyd, John Harvey, 1953-
Publicado em: (2006)
por: Boyd, John Harvey, 1953-
Publicado em: (2006)
Donor herding and domestic debt crisis
por: Khamfula, Yohane Anthony, 1967-
Publicado em: (2006)
por: Khamfula, Yohane Anthony, 1967-
Publicado em: (2006)
Macro-hedging for commodity exporters
por: Borensztein, Eduardo
Publicado em: (2009)
por: Borensztein, Eduardo
Publicado em: (2009)
Banks' precautionary capital and persistent credit crunches /
por: Valencia, Fabian
Publicado em: (2007)
por: Valencia, Fabian
Publicado em: (2007)
Bank losses, monetary policy and financial stability : evidence on the interplay from panel data /
por: Nier, Erlend
Publicado em: (2008)
por: Nier, Erlend
Publicado em: (2008)
A simple stochastic approach to debt sustainability applied to Lebanon /
por: Di Giovanni, Julian
Publicado em: (2008)
por: Di Giovanni, Julian
Publicado em: (2008)
Banking crises and crisis dating theory and evidence /
por: Boyd, John H.
Publicado em: (2009)
por: Boyd, John H.
Publicado em: (2009)
Trade openness and volatility
por: Di Giovanni, Julian
Publicado em: (2008)
por: Di Giovanni, Julian
Publicado em: (2008)
Original sin and procylical fiscal policy : two sides of the same coin? /
por: Adler, Gustavo, 1974-
Publicado em: (2008)
por: Adler, Gustavo, 1974-
Publicado em: (2008)
Trade openness and volatility /
por: Di Giovanni, Julian
Publicado em: (2008)
por: Di Giovanni, Julian
Publicado em: (2008)
The role of institutional quality in a currency crisis model
por: Wu, Yi
Publicado em: (2008)
por: Wu, Yi
Publicado em: (2008)
Do financial sector reforms lead to financial development? : evidence from a new dataset /
por: Tressel, Thierry
Publicado em: (2008)
por: Tressel, Thierry
Publicado em: (2008)
Crises, labor market policy, and unemployment prepared by Lorenzo E. Bernal-Verdugo, Davide Furceri, and Dominique Guillaume.
por: Bernal-Verdugo, Lorenzo E.
Publicado em: (2012)
por: Bernal-Verdugo, Lorenzo E.
Publicado em: (2012)
Handbook of volatility models and their applications
por: Bauwens, Luc, 1952-
Publicado em: (2012)
por: Bauwens, Luc, 1952-
Publicado em: (2012)
Impact of macroeconomic, political, and institutional factors on the structure of government debt in emerging market countries /
por: Guscina, Anastasia
Publicado em: (2008)
por: Guscina, Anastasia
Publicado em: (2008)
Lending resumption after default lessons from capital markets during the 19th century /
por: Solé, Juan
Publicado em: (2006)
por: Solé, Juan
Publicado em: (2006)
IMF-supported programs and crisis prevention an analytical framework /
por: Kim, Jun (Jun Il)
Publicado em: (2006)
por: Kim, Jun (Jun Il)
Publicado em: (2006)
Efficiency and productivity growth modelling in the financial services industry /
por: Pasiouras, Fotios
Publicado em: (2013)
por: Pasiouras, Fotios
Publicado em: (2013)
Handbook of modeling high-frequency data in finance
por: Viens, Frederi G., 1969-
Publicado em: (2012)
por: Viens, Frederi G., 1969-
Publicado em: (2012)
Sovereign insurance and program design what is optimal for the sovereign? /
por: Messmacher, Miguel
Publicado em: (2006)
por: Messmacher, Miguel
Publicado em: (2006)
Sudden stops and optimal self-insurance /
por: Kim, Jun (Jun Il)
Publicado em: (2008)
por: Kim, Jun (Jun Il)
Publicado em: (2008)
Sudden stops and optimal self-insurance
por: Kim, Jun (Jun Il)
Publicado em: (2008)
por: Kim, Jun (Jun Il)
Publicado em: (2008)
Default, credit growth, and asset prices
por: Segoviano, Miguel A.
Publicado em: (2006)
por: Segoviano, Miguel A.
Publicado em: (2006)
Public financial management and fiscal outcomes in Sub-Saharan African heavily-indebted poor countries /
por: Prakash, Tej
Publicado em: (2008)
por: Prakash, Tej
Publicado em: (2008)
A theory of international crisis lending and IMF conditionality /
por: Jeanne, Olivier
Publicado em: (2008)
por: Jeanne, Olivier
Publicado em: (2008)
Registros relacionados
-
Government debt in emerging market countries a new data set /
por: Jeanne, Olivier
Publicado em: (2006) -
Distance-to-default in banking a bridge too far? /
por: Chan-Lau, Jorge A.
Publicado em: (2006) -
Government debt and long-term interest rates
por: Kinoshita, Noriaki
Publicado em: (2006) -
Reserve requirements, the maturity structure of debt, and bank runs /
por: Al-Zein, Eza
Publicado em: (2008) -
Fundamentals-based estimation of default probabilities a survey /
por: Chan-Lau, Jorge A.
Publicado em: (2006)