Mispricing of Sovereign Risk and Macroeconomic Stability in the Eurozone*
Top Cited Papers
- 17 October 2012
- journal article
- Published by Wiley in JCMS: Journal of Common Market Studies
- Vol. 50 (6), 866-880
- https://doi.org/10.1111/j.1468-5965.2012.02287.x
Abstract
No abstract availableKeywords
This publication has 16 references indexed in Scilit:
- The Greek financial crisis: Growing imbalances and sovereign spreadsJournal of International Money and Finance, 2012
- Mispricing of Sovereign Risk and Multiple Equilibria in the EurozoneSSRN Electronic Journal, 2012
- Fiscal Spillovers in the Euro AreaSSRN Electronic Journal, 2011
- Governance of a Fragile EurozoneSSRN Electronic Journal, 2011
- Government bond risk premiums in the EU revisited: The impact of the financial crisisEuropean Journal of Political Economy, 2011
- Japan's Negative Risk Premium in Interest Rates: The Liquidity Trap and the Fall in Bank LendingThe World Economy, 2003
- Lending booms, reserves and the sustainability of short-term debt: inferences from the pricing of syndicated bank loansJournal of Development Economics, 2000
- The pure theory of country riskEuropean Economic Review, 1986
- Forward and spot exchange ratesJournal of Monetary Economics, 1984
- Bank Runs, Deposit Insurance, and LiquidityJournal of Political Economy, 1983