Sovereign Risk and Secondary Markets
Year of publication: |
2006-12-03
|
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Authors: | Broner, Fernando ; Martin, Alberto ; Ventura, Jaume |
Institutions: | Society for Economic Dynamics - SED |
Subject: | risk sharing | sovereign risk | secondary markets | sovereign debt |
Series: | |
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Type of publication: | Book / Working Paper |
Notes: | The text is part of a series 2006 Meeting Papers Number 565 |
Classification: | F34 - International Lending and Debt Problems ; F36 - Financial Aspects of Economic Integration ; G15 - International Financial Markets |
Source: |
-
Selective default expectations
Accominotti, Olivier, (2023)
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Sovereign Risk and Secondary Markets
Broner, Fernando A., (2006)
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Sovereign Risk and Secondary Markets
Broner, Fernando A, (2006)
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Secondary markets in turbulent times: distortions, disruptions and bailouts
Broner, Fernando, (2013)
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Rethinking the effects of financial liberalization
Ventura, Jaume, (2008)
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Sovereign Debt Markets in Turbulent Times : Creditor Discrimination and Crowding-Out
Broner, Fernando, (2013)
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