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the Eurozone (EZ) balance of payments. Several aspects arise. LTRO program launched at the end of 2011 served to …
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This study examines the tracking performance of 31 eurozone sovereign debt exchange traded index funds (ETFs) during … importance of appropriate (e.g. correlation vs. cointegration based) metrics required for the assessment of funds adopting …
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In this paper, we propose a two-step approach for conducting statistical inference in financial networks of volatility, applied to a network of European sovereign debt markets. The static results highlight that, contrarily to the intuition, southern European bonds exhibiting most volatility...
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At the end of 2009, countries in the Eurozone began to experience a sudden divergence of bond yields as the market …
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