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Displaying items 205-216 of 474 in total
Why Does Bad News Increase Volatility and Decrease Leverage?
A Macro Model of the Credit Channel in a Currency Union Member : The Case of ...
Price of Risk : Recent Evidence From Large Financials
Resource Windfalls and Emerging Market Sovereign Bond Spreads : The Role of P...
Beyond Aid : How Much Should African Countries Pay to Borrow?
Sovereign Spreads : Global Risk Aversion, Contagion or Fundamentals?
Macrofinancial Linkages of the Strategic Asset Allocation of Commodity-Based ...
The Outlook for Financing Japan’s Public Debt
International Pricing of Emerging Market Corporate Debt: Does the Corporate M...
Unconventional Choices for Unconventional Times Credit and Quantitative Easin...
Euro Area Sovereign Risk During the Crisis
What Determines Bond Market Development in Sub-Saharan Africa?
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