Discussion paper DP9257 The Impact of Debt Levels and Debt Maturity on Inflation Albert Marcet Andrew Scott Elisa Faraglia Rigas Oikonomou 9 Dec 2012 International Macroeconomics E52 E62 H21 H63
Discussion paper DP9244 An Analysis of Eurobonds Roel Beetsma 2 Dec 2012 International Macroeconomics E60 E62 H60 H63
Discussion paper DP9249 The Pricing of Sovereign Risk and Contagion during the European Sovereign Debt Crisis Marcel Fratzscher John Beirne 2 Dec 2012 International Macroeconomics C23 E44 F30 G15 H63
Discussion paper DP9203 Economic and Politico-Economic Equivalence Dirk Niepelt Martin Gonzalez-Eiras 4 Nov 2012 International Macroeconomics Public Economics E62 H55 H63
Discussion paper DP9175 Fiscal Policy, Banks and the Financial Crisis Robert Kollmann Werner Roeger Marco Ratto 14 Oct 2012 International Macroeconomics E32 E62 F41 G21 H63
Discussion paper DP9041 Fiscal Consolidation Strategy John Taylor Volker Wieland John F. Cogan Maik Wolters 1 Jul 2012 International Macroeconomics E27 E62 H30 H63
Discussion paper DP8780 The Role of Central Banks in Financial Stability: How has it changed? Willem Buiter 1 Jan 2012 International Macroeconomics E41 E52 E58 E63 G01 H63
Discussion paper DP8738 Rotten Parents and Disciplined Children: A Politico-Economic Theory of Public Expenditure and Debt Fabrizio Zilibotti Kjetil Storesletten Zheng Michael Song 1 Jan 2012 International Macroeconomics D72 E62 H41 H62 H63
Discussion paper DP8694 Natural resource wealth: the challenge of managing a windfall Frederick Van Der Ploeg Anthony Venables 1 Dec 2011 Development Economics International Macroeconomics E60 F34 F35 F43 H21 H63 O11 Q33
Discussion paper DP8661 Does the European Financial Stability Facility bail out sovereigns or banks? An event study Harry Huizinga Bálint Horváth 1 Nov 2011 International Macroeconomics G21 G28 H63
Discussion paper DP8668 Sovereign debt, government myopia, and the financial sector Raghuram Rajan Viral Acharya 1 Nov 2011 Financial Economics E62 G2 H63
Discussion paper DP8358 Sovereign Default Risk and Bank Fragility in Financially Integrated Economies Patrick Bolton Olivier Jeanne 1 Apr 2011 Financial Economics International Macroeconomics E44 F34 F36 G21 H63