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Themes

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There are 24 results

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Discussion paper

DP16773 Identifying Empty Creditors with a Shock and Micro-Data

  • Hans Degryse
  • Steven Ongena

4 Dec 2021
  • Financial Economics
  • G21
  • G33
  • G38
Discussion paper

DP16628 Bank Use of Sovereign CDS in the Eurozone Crisis: Hedging and Risk Incentives

  • Viral Acharya
  • Timothy Johnson

13 Oct 2021
  • Financial Economics
  • G01
  • G15
  • G21
  • H63
Discussion paper

DP15668 Credit default swaps around the world

  • Söhnke Bartram
  • Jennifer Conrad
  • Jongsub Lee
  • Marti Subrahmanyam

14 Jan 2021
  • Financial Economics
  • International Macroeconomics and Finance
  • G3
  • F4
  • F3
AdobeStock_55657929.jpeg
VoxEU Column

Emerging markets sovereign spreads and country-specific fundamentals during COVID-19

  • Timo B. Daehler
  • Yothin Jinjarak
  • Joshua Aizenman

15 Nov 2020
  • COVID-19
  • Financial Markets
AdobeStock_337071862.jpeg
VoxEU Column

COVID dominance: Pandemic shocks and fiscal-monetary policies in the euro area

  • Weining Xin
  • Sameer Nair-Desai
  • Joshua Aizenman
  • Yothin Jinjarak
  • Rashad Ahmed

6 Jul 2020
  • COVID-19
  • EU policies
sciantarelli20febfig2.png
VoxEU Column

Populism, political risk and the economy: What we can learn from the Italian experience

  • Fabio Schiantarelli
  • Emanuele Brancati
  • Marco Brianti
  • Pierluigi Balduzzi

20 Feb 2020
  • Europe's nations and regions
  • Politics and economics
Discussion paper

DP12857 Sovereign credit risk and exchange rates: Evidence from CDS quanto spreads

  • Mikhail Chernov
  • Patrick Augustin

10 Apr 2018
  • Financial Economics
  • C1
  • E43
  • E44
  • G12
  • G15
Discussion paper

DP12168 Asset encumbrance and bank risk: First evidence from public disclosures in Europe

  • Albert Banal-Estanol
  • Dmitry Khametshin

20 Jul 2017
  • Financial Economics
  • G01
  • G21
  • G28
Discussion paper

DP11576 A Macrofinance View of U.S. Sovereign CDS Premiums

  • Mikhail Chernov
  • Lukas Schmid

17 Oct 2016
  • Financial Economics
  • E43
  • E44
  • E52
  • G12
  • G13
VoxEU Column

What were they thinking? The Federal Reserve in the run-up to the 2008 financial crisis

  • Ayse Kaya
  • Michael Reay
  • Stephen Golub

8 Sep 2014
  • Financial Markets
  • Global crisis
  • Monetary Policy
VoxEU Column

Structural reform lowers country risk

  • Camilo Umana Dajud

29 Aug 2014
  • Financial Markets
VoxEU Column

Watch the indices! Derivatives and the Eurozone sovereign debt crisis

  • Julien Fouquau
  • Richard Portes
  • Anne-Laure Delatte

17 Apr 2014
  • Financial Markets
  • Global crisis
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