Discussion paper DP16898 Do the SDGs affect sovereign bond spreads? First evidence Eline Ten Bosch Mathijs Van Dijk Dirk Schoenmaker 14 Jan 2022 Development Economics Financial Economics Public Economics G11 G12 F34 H41 H62
VoxEU Column Bond returns in sovereign debt crises: The investors’ perspective Julian Schumacher Jochen Andritzky 18 Jan 2021 Financial Markets
Discussion paper DP14427 Twin Defaults and Bank Capital Requirements Caterina Mendicino Kalin Nikolov Javier Suarez Dominik Supera 21 Feb 2020 Financial Economics Monetary Economics and Fluctuations E3 E44 G01 G21
Discussion paper DP14327 The Aggregate Consequences of Default Risk: Evidence from Firm-level Data Tim Besley John Van Reenen Isabelle Roland 20 Jan 2020 Financial Economics Macroeconomics and Growth D24 E32 L11 O47
VoxEU Column Sovereign bond pricing in the euro area: When legal clauses matter Julian Schumacher Christoph Trebesch Marcos Chamon 6 Nov 2018 Financial Markets Financial Regulation and Banking
Discussion paper DP13152 Bank Capital in the Short and in the Long Run Caterina Mendicino Kalin Nikolov Javier Suarez Dominik Supera 3 Sep 2018 Financial Economics Monetary Economics and Fluctuations E3 E44 G01 G21
Discussion paper DP11043 Macroeconomic Effects of Bankruptcy and Foreclosure Policies Kurt Mitman 17 Jan 2016 Monetary Economics and Fluctuations E21 G11 K35 R21
Discussion paper DP10316 Capital Regulation in a Macroeconomic Model with Three Layers of Default Javier Suarez Kalin Nikolov Caterina Mendicino Livio Stracca Alexandros Vardoulakis 21 Dec 2014 Financial Economics International Macroeconomics E3 E44 G01 G21
Discussion paper DP8624 Housing and the Macroeconomy: The Role of Bailout Guarantees for Government Sponsored Enterprises Dirk Krueger Karsten Jeske Kurt Mitman 1 Oct 2011 International Macroeconomics Public Economics E21 G11 R21
Discussion paper DP7202 Financial (In)stability, Supervision and Liquidity Injections: A Dynamic General Equilibrium Approach Gregory de Walque Olivier Pierrard Abdelaziz Rouabah 23 Mar 2009 International Macroeconomics E13 E20 G21 G28
Discussion paper DP3122 Banking Passivity and Regulatory Failure in Emerging Markets: Theory and Evidence from the Czech Republic Jan Hanousek Gérard Roland 1 Jan 2002 Financial Economics Transition Economics C53 E58 G21 G33
Discussion paper DP2866 Emerging Market Debt: Measuring Credit Quality and Examining Relative Pricing Robert Cumby Tuvana Pastine 18 Jun 2001 International Macroeconomics F32 F34 G14 G15