EconStor >

Search Results

 
for  

Results 21-30 of 334.


Item hits:

DateTitle Authors
2008 Boon or Burden? The Effect of Private Sector Debt on the Risk of Sovereign Default in Developing CountriesCelasun, Oya / Harms, Philipp
2003 Bank loans non-linear structure of pricing: Empirical evidence from sovereign debtsHallak, Issam
2013 Optimal sovereign defaultAdam, Klaus / Grill, Michael
2002 The threat of systemic risk in banking: evidence for EuropeSchüler, Martin
2004 Financial Vergangenheitsbewältigung: The 1953 London Debt AgreementGuinnane, Timothy W.
2012 Dívida pública e passivo externo: Onde está a ameaça?Gentil, Denise Lobato / Araúja, Victor Leonardo de
2014 Stimulus vs. austerity vs. defaultCuadra, Gabriel / Ramos-Francia, Manuel
2002 The threat of systemic risk in banking: Evidence for EuropeSchüler, Martin
2001 One reason countries pay their debts: Renegotiation and international tradeRose, Andrew K.
2007 Default, Electoral Uncertainty and the Choice of Exchange RegimeHefeker, Carsten

Back 1 2 3 4 5 6 7 8 9 10 11 12 Next