Munich Personal RePEc Archive

Items where Subject is "F - International Economics > F3 - International Finance > F34 - International Lending and Debt Problems"

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Number of items at this level: 138.

A

Abalkina, Anna (2006): Роль многосторонних банков развития в содействии экономической интеграции. Published in: Континент партнерства (Kontinent Partnerstva) (December 2006): pp. 31-39.

Abalkina, Anna and Libman, Alexander and Yu, Xiofan (2013): Development Finance in the BRIC Countries. Published in: No. Shanghai: Shanghai People's Publishing House, 2013.

Abdala Rioja, Yamile E (2011): All things considered: the interaction of the reasons for the financial crisis.

Adeniji, Sesan (2013): The Upshot of External Debt on Economic Growth in West African Countries: A Panel Data Approach. Published in:

Agustinus, Prasetyantoko (2007): Corporate Responses to Currency Depreciations: Evidence from Indonesia.

Ana, Maria-Irina and Chitu, Lucia Mihaela and Adriana, Stefania Adriana (2013): CRIZA DATORIILOR SUVERANE ȘI CONTAGIUNEA PE PIEȚELE FINANCIARE: CAZUL CRIZEI FINANCIARE DIN ISLANDA.

Arellano, Cristina (2008): Default risk and income fluctuations in emerging economies. Published in: American Economic Review No. forthcoming (2008)

Asongu, Simplice A (2013): Fighting African Capital Flight: Empirics on Benchmarking Policy Harmonization. Forthcoming in:

Asongu, Simplice A (2013): Fighting African capital flight: timelines for the adoption of common policies. Forthcoming in: The Empirical Economics Letters

Asonuma, Tamon (2012): Serial default and debt renegotiation.

Asonuma, Tamon (2014): Sovereign defaults, external debt and real exchange rate dynamics.

Astarita, Caterina and Purificato, Francesco (2013): TARGET2 imbalances and the need for a lender of last resort.

Aysan, Ahmet Faruk (2006): Distributional Effects of Boom-Bust Cycles in Developing Countries with Financial Frictions.

Aysan, Ahmet Faruk and Ermişoğlu, Ergun (2013): Eurozone Debt Crisis and its Effects on Turkish Economy.

B

BOUKEF JLASSI, NABILA and HAMDI, HELMI (2013): Financial liberalization, disaggregated capital flows and banking crisis: Evidence from developing countries. Forthcoming in: Economic Modelling

Batten, Jonathan and Szilagyi, Peter (2010): The Recent Internationalisation of Japanese Banks. Published in: Japanese Economy , Vol. 38, No. 1 (2011): pp. 81-120.

Beja, Edsel Jr. (2009): The Philippines on debt row.

Brutti, Filippo (2008): Legal enforcement, public supply of liquidity and sovereign risk.

C

Cafiso, Gianluca (2002): Mandato e Attività del Fondo Monetario Internazionale.

Carrera, Jorge Eduardo (2004): Hard peg and monetary unions.Main lessons from the Argentine experience.

Cassimon, Denis and Moreno-Dodson, Blanca and Wodon, Quentin (2008): Debt Sustainability for Low-Income Countries: A Review of Standard and Alternative Concepts. Published in: Public Finance for Poverty Reduction: Concepts and Case Studies from Africa and Latin America (edited by Blanca Moreno-Dodson and Quentin Wodon, published in World Bank Directions in Development) (January 2008): pp. 21-56.

Cebula, Richard (2014): An Empirical Investigation into the Impact of U.S. Federal Government Budget Deficits on the Real Interest Rate Yield on Intermediate-term Treasury Debt Issues, 1972-2012.

Chakraborty, Suparna and Allen, Linda (2007): Revisiting the Level Playing Field: International Lending Responses to Divergences in Japanese Bank Capital Regulations from the Basel Accord.

Chang, Yanqin (2006): How a small open economy's asset are priced by heterogeneous international investors.

Chichilnisky, Graciela (1991): Development at the turn of our century. Published in: Asian Journal of Economic and Social Studies (1991)

Constantine, Collin (2014): Rethinking the Twin Deficits. Forthcoming in: Journal of Australian Political Economy

Craigwell, Roland and Greenidge, Kevin and Thomas, Chrystal and Drakes, Lisa (2012): Threshold Effects of Sovereign Debt: Evidence from the Caribbean. Published in:

D

D'Agostino, Antonello and Ehrmann, Michael (2012): The pricing of G7 sovereign bond spreads – the times, they are a-changin.

Dabrowski, Marek (2006): Rethinking balance-of-payments constraints in a globalized world. Published in: CASE Network Studies and Analyses No. 330 (August 2006)

Dai, Meixing (2003): Endogenous Wealth-Depending Time Preference and Fiscal Policy in Open Economy. Published in: Economics Bulletin , Vol. 8, No. 7 (July 2007): pp. 1-7.

Dai, Meixing (2010): External constraint and financial crises with balance sheet effects.

Dai, Meixing (1992): Growth, External Debt Constraints and Budgetary Policies.

Dai, Meixing (1992): Technological dependence and budgetary policy in an uncertain horizon model of small open economy.

Delis, Manthos D and Mylonidis, Nikolaos (2010): The chicken or the egg? A note on the dynamic interrelation between government bond spreads and credit default swaps.

Dumitriu, Ramona and Stefanescu, Razvan (2013): External debt management in Romania.

E

Evans, Martin (2014): External Balances, Trade Flows and Financial Conditions.

Evans, Olaniyi (2013): International Financial Integration and The Nigerian Economic Performance: a Var Modeling Approach.

F

Fischer, Justina AV (2012): Ist eine Deregulierung der Arbeitsmärkte in den südlichen EU-Staaten zur Bekämpfung der Eurokrise sinnvoll?

Flores Prieto, Pedro and Fullerton, Thomas M., Jr. and Andrade Olivas, Cesar (2007): Evidencia empirica sobre deuda externa, inversion, y crecimiento en Mexico, 1980-2003. Published in: Analisis Economico , Vol. 22, No. 50 (April 2007): pp. 149-171.

Fosu, Augustin (2010): The external debt-servicing constraint and public-expenditure composition in sub-Saharan Africa. Published in: African Development Review , Vol. 22, No. 3 (2010): pp. 378-393.

G

Gajewski, Krzysztof and Olszewski, Krzysztof and Pawłowska, Małgorzata and Rogowski, Wojciech and Tchorek, Grzegorz and Zięba, Jolanta (2012): Integracja finansowa w Europie po wprowadzeniu euro. Przegląd literatury. Published in: Materiały i Studia - National Bank of Poland No. 277 (October 2012)

Galati, Davide and Sitzia, Bruno (2000): Sovereign bond ratings and market spreads. a dynamic panel analysis.

Gao, Xiang (2009): Private Debt with Pervasive Default Risk.

Georgescu, George (2007): Deficitul de cont curent: Maladie cronică a economiei româneşti ? Published in: Revista Bilant No. 33 (20. June 2007): pp. 37-46.

Georgescu, George (2006): Evaluarea României: adevăr sau ficţiune? Published in: Revista Bilant No. 26 (28. November 2006): pp. 62-66.

Georgescu, George (2014): Factori de creştere a sustenabilităţii datoriei publice.

Georgescu, George (2005): Parametrii macroeconomici în derivă. Published in: Revista Bilant No. 13 (25. October 2005): pp. 15-19.

Georgescu, George (2013): Public debt, sovereign risk and sustainable development of Romania. Published in: Elsevier Procedia Economics and Finance , Vol. 8, No. 1st International Conference 'Economic Scientific Research - Theoretical, Empirical and Practical Approaches', ESPERA 2013 (May 2014): pp. 353-361.

Goderis, Benedikt and Wagner, Wolf (2009): Credit Derivatives and Sovereign Debt Crises.

Guimaraes, Bernardo and Iazdi, Oz (2013): IMF conditionalities, liquidity provision, and incentives for fiscal adjustment.

Gul, Adnan (2008): Is external debt an effective way of bringing economic reforms?

Guler, Halil and Talasli, Anil (2012): Determinants Of Sovereign Bond Spreads A Comparative Analysis During The Global Financial Crisis.

Gunter, Bernhard and Wodon, Quentin (2008): Analyzing Debt Sustainability: An Application of SimSIP Debt for Paraguay. Published in: Public Finance for Poverty Reduction: Concepts and Case Studies from Africa and Latin America (edited by Blanca Moreno-Dodson and Quentin Wodon, published in World Bank Directions in Development) (January 2008): pp. 165-188.

Gunter, Bernhard and Wodon, Quentin (2008): Analyzing Debt Sustainability: Concepts and Tools Applied for Guinea, Rwanda,and Senegal. Published in: Public Finance for Poverty Reduction: Concepts and Case Studies from Africa and Latin America (edited by Blanca Moreno-Dodson and Quentin Wodon, published in World Bank Directions in Development) (January 2008): pp. 311-344.

H

Haselmann, Rainer and Pistor, Katharina and Vig, Vikrant (2006): How Law Affects Lending.

Hernandez-Verme, Paula and Wang, Wen-Yao (2009): Multiple Reserve Requirements, Exchange Rates, Sudden Stops and Equilibrium Dynamics in a Small Open Economy.

Hossain, Monzur (2013): Capital Flows to Least Developed Countries: What Matters?

Häseler, Sönke (2011): Collective action clauses in sovereign bonds. Published in: Sovereign Debt: From Safety to Default

Häseler, Sönke (2008): Individual Enforcement Rights in International Sovereign Bonds.

Häseler, Sönke (2011): Individual enforcement rights in international sovereign bonds.

Häseler, Sönke (2012): Individual versus Collective Enforcement Rights in Sovereign Bonds. Forthcoming in: Eugenio A Bruno (ed.) “Sovereign Debt and Debt Restructuring”, Globe Business Publishing

Häseler, Sönke (2010): Trustees versus Fiscal Agents and Default Risk in International Sovereign Bonds.

Häseler, Sönke (2010): Trustees versus fiscal agents and default risk in international sovereign bonds. Published in: European Journal of Law and Economics

J

Javier, Garcia-fronti and Lei, Zhang (2006): Political Uncertainty and the Peso Problem.

K

Kibritçioğlu, Aykut (2011): Avro Bölgesi Ülkelerindeki Güncel Borç Krizi. Published in: İktisat ve Toplum Dergisi No. 10 (25. August 2011): pp. 30-41.

Kim, Woochan (2011): Korea investment corporation: its origin and evolution. Published in: Journal of the Asia Pacific Economy , Vol. 2, No. 17 (6. May 2012): pp. 22-36.

Kinda, Tidiane (2008): Les déterminants des flux de capitaux privés dans l’UMOA: Une approche empirique sur données de panel. Published in: Revue de la Stabilité Financière dans l'Union Economique et Monétaire Ouest Africaine , Vol. 2, No. June (June 2008): pp. 41-68.

Kowalski, Tadeusz (2012): The economic and monetary union countries vs. the global crisis. Published in: Working papers. Faculty of international business and economics. Poznan University of Economics No. WP/2012/04

L

Lim, Jamus Jerome (2007): Political Economic Pressures in Financial Crisis Resolution.

Lim, Jamus Jerome (2006): Special Interests, Regime Choice, and Currency Collapse.

Liu, Xuan (2007): Trade Openness and the Cost of Sudden Stops: The Role of Financial Frictions.

Lizarazo, Sandra (2009): Contagion of financial crises in sovereign debt markets.

Lizarazo, Sandra (2012): Default Risk and Risk Averse International Investors.

Ludwig, Alexander (2013): Sovereign risk contagion in the Eurozone: a time-varying coefficient approach.

M

Manas, Arnaud and Daniel, Laurent (2007): Pricing the implicit contracts in the Paris Club debt buybacks.

Mariolis, Theodore and Papoulis, Κostas (2010): Δυναμική του χρέους, ‘δίδυμα ελλείμματα’ και διεθνής ανταγωνιστικότητα της ελληνικής οικονομίας.

Mina, Wasseem (2013): Political Risk Guarantees and Capital Flows: The Role of Bilateral Investment Treaties.

Mina, Wasseem (2012): Beyond FDI: The Influence of Bilateral Investment Treaties on Debt.

Moreno-Dodson, Blanca and Wodon, Quentin (2008): Public Finance for Poverty Reduction: An Overview. Published in: Public Finance for Poverty Reduction: Concepts and Case Studies from Africa and Latin America (edited by Blanca Moreno-Dodson and Quentin Wodon, published in World Bank Directions in Development) (January 2008): pp. 1-17.

Muhanji, Stella and Ojah, Kalu (2014): External debt and military spending: the case of Africa's conflict countries.

Munro, John H. (2000): The 'New Institutional Economics' and the Changing Fortunes of Fairs in Medieval and Early Modern Europe: the Textile Trades, Warfare, and Transaction Costs. Published in: Fieri e mercati nella integrazione delle economie europee, seccoli XIII - XVIII, Atti delle “Settimana di Studi” e altri convegni, no. 32, Istituto Internazionale di Storia Economica F. Datini , Vol. 32, No. 1 (2001): pp. 405-451.

Munro, John H. (2002): The medieval origins of the 'Financial Revolution': usury, rentes, and negotiablity. Published in: The International History Review , Vol. 25, No. 3 (September 2003): pp. 505-562.

Mykhaylova, Olena (2010): Optimal Monetary Policy with Non-Zero Net Foreign Wealth.

N

Nabi, Mahmoud Sami (2001): Banking Performance and Speculative Attacks Under Asymmetric Information.

Nabi, Mahmoud Sami and Rajhi, Taoufik (2002): The Effect of Financial Liberalization on the Economic Development Process in case of Inefficient Banking.

Nizamuddin, Mohammed (2013): FDI in Multi Brand Retail and Employment Generation in India. Published in: International Journal of Engineering and Management Sciences , Vol. 4, No. 2 (15. April 2013): pp. 179-186.

Nkamleu, Guy Blaise (2006): On measuring indebtedness of African countries: A stochastic frontier debt production function. Published in: Economic Research Working Paper Series, African Development Bank No. 85 (2006): pp. 1-21.

n.a.m, Naseem and abu hassan shaari mohd, Nor and tamat, Sarmidi and noor aini, khalifah (2013): Exports and Exchange Rate Movements: The Role of Credit Market Imperfections.

O

Ofori, Eunice (2009): Structural Adjustments And Their Effects: Is There A Way Out For Africa?

P

Pessoa, Argentino (2011): The Euro Area sovereign debt crisis: Some implications of its systemic dimension.

Pontines, Victor and Siregar, Reza Yamora (2011): Cross-border bank lending to selected SEACEN economies: an integrative report.

Popa, Catalin C. (2009): Functional overview of financial crises development and propagation. Published in: KBO Journal , Vol. 1, No. 1 (10. January 2009): pp. 112-118.

Popa, Ionela and Codreanu, Diana and Albici, Mihaela (2010): Romania's public debts and their consequences upon the economy. Published in: Conference Proceedings 3, The 15-th International Conference the Knowledge-Based Organization (27. November 2009): pp. 140-143.

Popescu, Ramona Florina (2008): General view regarding the recent contribution of the World Bank in Europe and Central Asia. Published in: Analele Universitatii din Oradea , Vol. 1, (May 2008): pp. 169-175.

Popov, Sergey V. and Wiczer, David G. (2009): Equilibrium sovereign default with endogenous exchange rate depreciation.

Popov, Vladimir (2010): Global imbalances: an unconventional view.

Porzecanski, Arturo C. (2012): Behind the Greek default and restructuring of 2012.

Porzecanski, Arturo C. (2012): Buenos Aires to Athens: The Road to Perdition. Forthcoming in:

Porzecanski, Arturo C. (2009): Latin America: The Missing Financial Crisis. Forthcoming in: ECLAC Washington Office Studies and Perspectives Series No. 6 (October 2009)

Porzecanski, Arturo C. (2011): Mexico's retrogression: implications of a bankruptcy reorganization gone wrong.

Porzecanski, Arturo C. (2006): Private vs. Official Creditors: The Record Speaks.

Porzecanski, Arturo C. (2006): Private vs. Official Creditors: The Record Speaks.

Porzecanski, Arturo C. (2010): Should Argentina Be Welcomed Back by the Capital Markets?

Porzecanski, Arturo C. (2010): Should Argentina Be Welcomed Back by the Capital Markets? Forthcoming in: University of Miami Center for Hemispheric Policy Perspectives on the Americas

Porzecanski, Arturo C. (2010): When Bad Things Happen to Good Sovereign Debt Contracts: The Case of Ecuador. Forthcoming in: Law & Contemporary Problems No. Fall 2010

Presbitero, Andrea F. (2008): Debt Relief Effectiveness and Institution Building.

Presbitero, Andrea F. and Arnone, Marco (2006): External debt sustainability and domestic debt in Heavily Indebted Poor Countries.

Prokop, Jacek (2012): Bargaining over debt rescheduling.

Prokop, Jacek and Baranowska-Prokop, Ewa (2012): "The Efficiency of Foreign Borrowing: The Case of Poland". Published in: Proceedia Economics and Finance , Vol. 1, (2012): pp. 321-329.

Q

Qayyum, Unbreen and Musleh ud, Din and Haider, Adnan (2012): Foreign Aid, External Debt and Governance.

R

Reinhart, Carmen (2004): Debt intolerance: Executive summary.

Reinhart, Carmen and Goldstein, Morris and Kaminsky, Graciela (2000): Early Warning System: An Assessment of Vulnerability. Published in: Assessing Financial Vulnerability: An Early Warning System for Emerging Markets, Institute for International Economics (2000)

Reinhart, Carmen and Goldstein, Morris and Kaminsky, Graciela (2000): Early Warning System: Empirical Results from The Signals Approach. Published in: Assessing Financial Vulnerability: An Early Warning System for Emerging Markets , Institute for International Economics (2000)

Reinhart, Carmen and Goldstein, Morris and Kaminsky, Graciela (2000): Rating the Rating Agencies. Published in: Assessing Financial Vulnerability: An Early Warning System for Emerging Markets , Institute for International Economics (2000)

Reinhart, Carmen and Goldstein, Morris and Kaminsky, Graciela (2000): Some Policy Issues Regarding an Early Warning System. Published in: Assessing Financial Vulnerability: An Early Warning System for Emerging Markets (2000)

Reinhart, Carmen and Kaminsky, Graciela (2001): Bank Lending and Contagion: Evidence from the Asian Crisis. Published in: in Takatoshi Ito and Anne Krueger, eds. Regional and Global Capital Flows: Macroeconomic Causes and Consequences, (Chicago: University of Chicago Press for the NBER, 2001). (2001): pp. 73-99.

Reinhart, Carmen and Rogoff, Kenneth (2004): Serial default and the “paradox” of rich to poor capital flows. Published in: American Economic Review, , Vol. 94, No. 2 (May 2004)

Reinhart, Carmen and Rogoff, Kenneth and Savastano, Miguel (2003): Debt intolerance. Published in: Brookings Papers on Economic Activity , Vol. 1, (March 2003): pp. 1-74.

S

Schilirò, Daniele (2012): Hans Werner Sinn and Timo Wollmershaeuser’s target loans, current account balances and capital flows: the ECB’s rescue facility. A comment.

Schilirò, Daniele (2007): La crescita in Italia dopo l’euro: quali riforme?

Schilirò, Daniele (2010): L’economia italiana e la crisi globale: crescita, disoccupazione e debito pubblico.

Schilirò, Daniele (2012): The crisis of euro’s governance: institutional aspects and policy issues.

Schmid, Peter Alfons (2012): The crisis of the EMU.

Shonchoy, Abu (2010): The Dynamics of Spending and Absorption of Aid: Panel Data Analysis.

Simarmata, Djamester A. (2007): Keberlanjutan Fiskal di Indonesia. Published in: Jurnal Ekonomi Indonesia (Indonesian Economic Journal), No. 1 Juni 2007 No. No. 1, Juni 2007 : pp. 1-24.

Siregar, Reza (2013): Globalized Banking Sectors: Features and Policy Implications amidst Global Uncertainties.

Siregar, Reza Yamora and Choy, KM (2009): Determinants of International Bank Lending from the Developed World to East Asia.

Sosa-Padilla, Cesar (2012): Sovereign Defaults and Banking Crises.

Stavrinos, Vasilios G. and Zombanakis, George A. (1998): The Vicious Cycle of the Foreign Military Debt. Published in: European Research Studies , Vol. 1, No. 1 (May 1998): pp. 5-26.

Sun, David and Chow, Da-Ching (2014): Forgive, or Award, Your Debtor? - A Barrier Option Approach.

Sun, David and Tsai, Shih-Chuan (2013): Diversifying Risks in Bond Portfolios: A Cross-border Approach.

Swamy, Vighneswara (2014): Political Economy of Argentine Sovereign Debt and the Holdouts Problem.

Söylemez, Arif Orçun and Yılmaz, Ahmet (2012): Türkiye Ekonomisinde Finansal Serbestleşme Döneminde Uluslararası Sermaye Girişi - Büyüme İlişkisi. Published in: İktisadi ve İdari Bilimler Dergisi (Journal of Economic and Administrative Sciences) , Vol. 33, No. 2 (December 2012): pp. 47-66.

T

Tattara, Giuseppe (2002): Un margine di arbitraggio non sfruttato sulla Rendita Italiana a Parigi ? Published in: Rivista di storia economica , Vol. XVIII, No. 2002 (1. April 2002): pp. 51-63.

Tola, Albi and Wälti, Sébastien (2012): Deciphering financial contagion in the euro area during the crisis.

W

Wamboye, Evelyn (2012): External debt, trade and FDI on economic growth of least developed countries. Forthcoming in:

White, Howard (2002): Long-run Trends and Recent Developments in Official Assistance from Donor Countries.

Z

Zhu, Junjun and Xie, Shiyu (2011): Asymmetric Shocks, Long-term Bonds and Sovereign Default.

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