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Subject
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Finanzpolitik 2 Fiscal policy 2 Public debt 2 Sovereign default 2 Staatsbankrott 2 Öffentliche Schulden 2 Außenwirtschaftliches Gleichgewicht 1 Budget deficit 1 Country risk 1 Current Account 1 Current account 1 Developing countries 1 Dynamic Panel Threshold Model 1 Entwicklungsländer 1 Estimation 1 External balance 1 Fiscal Limit 1 Fiscal consolidation 1 Haushaltsdefizit 1 Haushaltskonsolidierung 1 International sovereign debt 1 Internationale Staatsschulden 1 Leistungsbilanz 1 Länderrisiko 1 Risikoprämie 1 Risk premium 1 Schätzung 1 Sovereign Default 1 Theorie 1 Theory 1 Twin Deficits 1 Welt 1 World 1 bail 1 fiscal adjustment 1 fiscal policy 1 sovereign default 1
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Online availability
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Free 7
Type of publication
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Book / Working Paper 7
Type of publication (narrower categories)
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Conference Paper 5 Graue Literatur 2 Konferenzschrift 2 Non-commercial literature 2
Language
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English 7
Author
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Hürtgen, Patrick 2 Rühmkorf, Ronald 2 Weder, Martin 2 Eichler, Stefan 1 Heinemann, Friedrich 1 Kalb, Alexander 1 Osterloh, Steffen 1 Sarlin, Peter 1 Schaltegger, Christoph 1 Schaltegger, Christoph A. 1 von Schweinitz, Gregor 1
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Beiträge zur Jahrestagung des Vereins für Socialpolitik 2013: Wettbewerbspolitik und Regulierung in einer globalen Wirtschaftsordnung - Session: Sovereign Risk 3 Beiträge zur Jahrestagung des Vereins für Socialpolitik 2015: Ökonomische Entwicklung - Theorie und Politik - Session: Sovereign risk revisited: construction and use of early-warning systems 2
Source
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EconStor 5 ECONIS (ZBW) 2
Showing 1 - 7 of 7
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How Do Political Factors Shape the Bank Risk-Sovereign Risk Nexus in Emerging Markets?
Eichler, Stefan - 2015
This paper studies the role of conditioning political factors for determining the impact of banking crises on sovereign bond yield spreads for a sample of 33 emerging economies in the period 1995-2010. Accounting for the endogenous nature of banking crisis outbreaks, I find that sovereign bond...
Persistent link: https://www.econbiz.de/10011301473
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Signaling Crises: How to Get Good Out-of-Sample Performance Out of the Early Warning System
von Schweinitz, Gregor; Sarlin, Peter - 2015
In past years, the most common approaches for deriving early-warning models belong to the family of binary-choice methods, which have been coupled with a separate loss function to optimize model signals based on policymakers preferences. The evidence in this paper shows that early-warning models...
Persistent link: https://www.econbiz.de/10011301560
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Sovereign default risk premia and state-dependent twin deficits : conference paper
Hürtgen, Patrick; Rühmkorf, Ronald - 2013 - This version: August 7, 2013
This paper studies the impact of the state-dependent risk of a government default on the correlation of the scal balance and current account. We use a small open economy model where nonlinear risk premia arise endogenously when the government operates close to its scal limit, i.e. the maximum...
Persistent link: https://www.econbiz.de/10010341080
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Fiscal adjustments and the probability of sovereign default : conference paper
Schaltegger, Christoph A.; Weder, Martin - 2013
Based on probit estimates, this paper analyzes the effects of fiscal consolidation on the proba-bility of sovereign defaults in the short run. Using a panel of 104 developing countries from 1980 to 2009 and controlling for various economic, fiscal and political factors, we find that fiscal...
Persistent link: https://www.econbiz.de/10010338976
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Sovereign Default Risk Premia and State-Dependent Twin Deficits
Hürtgen, Patrick; Rühmkorf, Ronald - 2013
This paper studies the impact of the state-dependent risk of a government default on the correlation of the scal balance and current account. We use a small open economy model where nonlinear risk premia arise endogenously when the government operates close to its scal limit, i.e. the maximum...
Persistent link: https://www.econbiz.de/10010329361
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Cover Image
Fiscal Adjustments and the Probability of Sovereign Default
Schaltegger, Christoph; Weder, Martin - 2013
Based on probit estimates, this paper analyzes the effects of fiscal consolidation on the proba-bility of sovereign defaults in the short run. Using a panel of 104 developing countries from 1980 to 2009 and controlling for various economic, fiscal and political factors, we find that fiscal...
Persistent link: https://www.econbiz.de/10010329492
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Sovereign risk premia: The link between fiscal rules and stability culture
Osterloh, Steffen; Heinemann, Friedrich; Kalb, Alexander - 2013
There is a growing empirical literature studying whether fiscal rules reduce borrowing costs. Nevertheless, it remains an open question whether these rules are effective genuinely or just because they mirror fiscal preferences of politicians and voters. In our analysis of European bond spreads,...
Persistent link: https://www.econbiz.de/10010329548
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