EconStor >

Search Results

 
for  

Results 41-50 of 197.


Item hits:

DateTitle Authors
2001 Government Debt as Insurance against Macroeconomic RiskBarbie, Martin / Hagedorn, Marcus / Kaul, Ashok
2006 Sovereign Risk Premiums in the European Government Bond MarketBernoth, Kerstin / von Hagen, Jürgen / Schuknecht, Ludger
2008 Administração e sustentabilidade da dívida pública no Brasil: Uma análise para o período 1995-2007Mendonça, Mário Jorge / Pires, Manoel Carlos de Castro / Medrano, Luiz Alberto
2002 Default-risky Sovereign DebtWiggers, Andreas
2003 Dynamic Fiscal Policies, Unemployment, and Economic GrowthJosten, Stefan Dietrich
2011 Julkisen talouden: Rahoituksellinen kestävyys SuomessaLassila, Jukka / Valkonen, Tarmo
2004 The fiscal stability impact of monetary unions: looking beneath the Stability Pact debatePaulus, Philipp
2014 Making the market: Trading debt at the Eighteenth-Century Bank of EnglandMurphy, Anne L.
2012 Conflicting claims in the eurozone? Austerity's myopic logic and the need for a European federal union in a Post-Keynesian eurozone center-periphery modelBotta, Alberto
2014 The financial economics of sovereign asset value: functional perspectives and market outcomesPosch, Peter N / Bowden, Roger J / Kalteier, Eva-Maria

Back 1 2 3 4 5 6 7 8 9 10 11 12 13 14 Next