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Auswirkungen des Schuldenmanagements auf Renditedifferenzen zwischen Anleihen öffentlicher Emittenten des Euro-Währungsgebietes
Bolte, Florian, (2005)
Introduction of a new conceptual framework for government debt management : with a special emphasis on modeling the term structure dynamics
Hubig, Anja, (2013)
International evidence on extending sovereign debt maturities
Christensen, Jens H. E., (2021)
Government borrowing using bonds with randomly determined returns : welfare improving randomization in the context of deficit finance
Smith, Bruce D., (1991)
Efficiency, randomization, and commitment in government borrowing
Smith, Bruce D., (1993)
Demand deposit contracts, suspension of convertibility, and optimal financial intermediation
Villamil, Anne Patricia, (1991)