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Year of publication
Subject
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Credit derivative 3,747 Kreditderivat 3,747 Kreditrisiko 2,221 Credit risk 2,211 Theorie 840 Theory 840 Welt 724 World 724 Derivat 651 Derivative 651 Risikoprämie 637 Risk premium 637 Finanzkrise 628 Financial crisis 627 Credit insurance 535 Kreditversicherung 535 Yield curve 475 Zinsstruktur 475 Country risk 460 Länderrisiko 460 Public bond 423 Öffentliche Anleihe 423 EU countries 370 EU-Staaten 370 Swap 337 Estimation 320 Schätzung 320 Börsenkurs 304 Share price 302 Eurozone 289 Euro area 288 USA 281 United States 279 Risikomanagement 274 Risk management 269 Insolvency 259 Insolvenz 259 Volatility 243 Volatilität 242 Public debt 234
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Online availability
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Free 1,669 Undetermined 961 CC license 44
Type of publication
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Book / Working Paper 1,914 Article 1,859 Journal 2 Other 1
Type of publication (narrower categories)
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Article in journal 1,684 Aufsatz in Zeitschrift 1,684 Graue Literatur 658 Non-commercial literature 658 Working Paper 612 Arbeitspapier 611 Aufsatz im Buch 160 Book section 160 Hochschulschrift 113 Thesis 78 Collection of articles of several authors 32 Sammelwerk 32 Collection of articles written by one author 30 Sammlung 30 Conference paper 14 Konferenzbeitrag 14 Aufsatzsammlung 13 Lehrbuch 6 Konferenzschrift 4 Textbook 4 Amtliche Publikation 3 Case study 3 Fallstudie 3 Bibliografie 2 Glossar enthalten 2 Glossary included 2 Handbook 2 Handbuch 2 Mikroform 2 Systematic review 2 Übersichtsarbeit 2 Amtsdruckschrift 1 Conference proceedings 1 Government document 1 Guidebook 1 Monografische Reihe 1 Ratgeber 1
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Language
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English 3,664 German 91 Undetermined 9 French 6 Spanish 4 Italian 2 Polish 1 Portuguese 1
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Author
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Tang, Dragon Yongjun 38 Gündüz, Yalın 37 Scheicher, Martin 34 Subrahmanyam, Marti G. 28 Augustin, Patrick 27 Zhang, Gaiyan 25 Calice, Giovanni 24 Mayordomo, Sergio 24 Zhong, Zhaodong 24 Fabozzi, Frank J. 23 Lee, Jongsub 22 Wang, Xinjie 21 Zhou, Hao 21 Zhu, Haibin 20 Hammoudeh, Shawkat 19 Pelizzon, Loriana 19 Peltonen, Tuomo 19 Wang, Sarah Qian 19 Brigo, Damiano 18 Gilchrist, Simon 18 Aizenman, Joshua 17 Vuillemey, Guillaume 17 Zakrajšek, Egon 17 Caporin, Massimiliano 16 Capponi, Agostino 16 Hasan, Iftekhar 16 Kiesel, Florian 16 Bolton, Patrick 15 Byström, Hans N. E. 15 Ongena, Steven 15 Peña Sánchez de Rivera, Juan Ignacio 15 Schiereck, Dirk 15 Urban, Jörg 15 Jinjarak, Yothin 14 Naifar, Nader 14 Cathcart, Lara 13 Gex, Mathieu 13 Hu, Nan 13 Lin, Ming-Tsung 13 Naranjo, Andy 13
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Institution
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National Bureau of Economic Research 36 European Central Bank 8 Advisory Group on Market Infrastructures for Securities and Collateral 4 Europäische Zentralbank / Advisory Group on Market Infrastructures for Securities and Collateral 4 Duale Hochschule Baden-Württemberg Stuttgart 3 Springer Fachmedien Wiesbaden 3 Verlag Dr. Kovač 3 Basel Committee on Banking Supervision 2 European Commission / Joint Research Centre 2 Friedrich-Schiller-Universität Jena 2 Mohr Siebeck GmbH & Co. KG 2 Shaker Verlag 2 Bank für Internationalen Zahlungsausgleich / Committee on the Global Financial System 1 Books on Demand GmbH <Norderstedt> 1 Bucerius Law School 1 CFA Institute <Charlottesville, Va.> 1 Centre for Analytical Finance <Århus> 1 Centre for Development Studies <Glasgow> 1 Christian-Albrechts-Universität zu Kiel 1 Econometrisch Instituut <Rotterdam> 1 Europäische Kommission 1 Europäische Zentralbank 1 Federal Reserve Bank of Atlanta 1 Finance, University of Technology, Sydney,; Gunter Meyer, School of Mathematics, Georgia Institute of Technology,; Andrew Ziogas, School of Economics 1 Financial Markets Conference, Credit Derivatives: Where's the Risk? <2007, Atlanta, Ga.> 1 Gottfried Wilhelm Leibniz Universität Hannover 1 Henley Business School, University of Reading 1 Institut ekonomických studií, Univerzita Karlova v Praze 1 Institute of Economic Research, Kyoto University 1 Instituto de Economía, Facultad de Ciencia Económicas y Administrativas 1 Institutt for foretaksøkonomi, Norges Handelshøyskole (NHH) 1 Lunds Universitet / Nationalekonomiska Institutionen 1 Nomos Verlagsgesellschaft 1 Otto-Friedrich-Universität Bamberg 1 Society for Computational Economics - SCE 1 Springer International Publishing 1 Technische Universität Darmstadt 1 University of Bonn, Germany 1 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 1 W. Kohlhammer GmbH 1
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Published in...
All
Journal of banking & finance 68 The journal of structured finance 51 Finance research letters 46 The journal of fixed income 42 International review of financial analysis 41 International journal of theoretical and applied finance 40 Journal of financial stability 37 Journal of international financial markets, institutions & money 37 NBER working paper series 36 NBER Working Paper 32 The journal of credit risk : published quarterly by Incisive Media 32 Journal of financial economics 31 Journal of international money and finance 31 The journal of futures markets 28 Journal of empirical finance 27 Research paper series / Swiss Finance Institute 26 The review of financial studies 26 Working paper / National Bureau of Economic Research, Inc. 26 IMF working papers 23 The North American journal of economics and finance : a journal of financial economics studies 23 International review of economics & finance : IREF 21 Applied economics 20 Discussion paper / Centre for Economic Policy Research 20 Journal of financial and quantitative analysis : JFQA 20 Review of quantitative finance and accounting 20 Working paper series / European Central Bank 20 Economic modelling 19 Discussion paper 18 ECB Working Paper 18 Management science : journal of the Institute for Operations Research and the Management Sciences 18 Review of finance : journal of the European Finance Association 18 Finance and economics discussion series 17 Swiss Finance Institute Research Paper 17 Review of derivatives research 16 The European journal of finance 16 The journal of derivatives : the official publication of the International Association of Financial Engineers 16 Research in international business and finance 15 Discussion paper / Tinbergen Institute 14 Economics letters 14 The journal of finance : the journal of the American Finance Association 14
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Source
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ECONIS (ZBW) 3,761 RePEc 13 BASE 1 EconStor 1
Showing 1 - 10 of 3,776
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ESG ratings, ESG news sentiment and firm credit risk perception
Wang, Fangfang; Silaghi, Florina; Ongena, Steven; … - 2025
Persistent link: https://www.econbiz.de/10015357880
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Corporate actions : single collateral management rulebook for Europe : November 2025 update
European Central Bank; Advisory Group on Market … - 2025
The Eurosystem's Advisory Group on Market Infrastructures for Securities and Collateral (AMI-SeCo) has set the goal of harmonising the processing of corporate actions (CA), based on the ISO 20022 standard. In December 2017 the AMI-SeCo identified a series of harmonisation needs, which served as...
Persistent link: https://www.econbiz.de/10015429504
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CDS and credit : the effect of the bangs on credit insurance, lending and hedging
Gündüz, Yalın; Ongena, Steven; Tümer-Alkan, Günseli; … - In: Journal of empirical finance 81 (2025), pp. 1-28
Persistent link: https://www.econbiz.de/10015405339
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The impact of SOE defaults on municipal corporate bond spreads in China
Zhang, Zhilin - In: Finance research letters 75 (2025), pp. 1-9
Persistent link: https://www.econbiz.de/10015407208
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The 2025 U.S. debt limit through the lens of financial markets
Benzoni, Luca; Wernick, Marisa - 2025 - This draft: May 27, 2025
We examine the 2025 U.S. debt limit episode through the lens of financial markets. First, we document an increase in trading activity in the U.S. sovereign CDS market, and we infer a probability of default from CDS premiums. We find that default risk reached 1% by the November 6 Presidential...
Persistent link: https://www.econbiz.de/10015407927
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Measuring and explaining the CDS-bond basis term-structure shape and dynamics
Khanna, Yonas; Lucas, André; Seeger, Norman - 2025 - This version: May 26, 2025
The CDS-bond basis quantifies the difference in risk premia between credit default swap (CDS) and bond markets. It is hard to measure at the individual firm level given substantial missing-value problems (30%-100%) in either or both markets, even for highly liquid blue-chip financial firms. We...
Persistent link: https://www.econbiz.de/10015408438
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The impact of global shocks on sovereign risk : role of domestic factors
Inoguchi, Masahiro - In: Economic systems 49 (2025) 2, pp. 1-16
Persistent link: https://www.econbiz.de/10015413307
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Research on sovereign credit and international banking industry tail risk contagion : perspective from double-layer complex network
Xiao-Li, Gong; Zhuo-Cheng, Wu; Xiong, Xiong; Zhang, Wei - In: International review of economics & finance : IREF 99 (2025), pp. 1-27
Persistent link: https://www.econbiz.de/10015453868
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US Treasury market default risk and global interbank liquidity risk
Cottrell, Simon; Lei, Jinghua; Ma, Yihong; Delpachitra, … - In: Borsa Istanbul Review 25 (2025) 1, pp. 66-78
Using Credit Default Swaps (CDS) on sovereign bonds, we investigate whether US sovereign default risk is a greater driving factor of domestic interbank funding risk than domestic sovereign default risk across the five Libor counties including Canada and Australia. We use equivalent-country...
Persistent link: https://www.econbiz.de/10015334486
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The real effect of CDS trading : evidence from corporate employment
Lai, Shaojie; Liu, Shiang; Pu, Xiaoling; Zhang, Jianing - In: International review of finance : the official journal … 25 (2025) 1, pp. 1-30
Persistent link: https://www.econbiz.de/10015334537
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