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Riesgos externos de la integración financiera en las economías emergentes. (2017). Quadrini, Vincenzo.
In: Revista ESPE - Ensayos sobre Política Económica.
RePEc:bdr:ensayo:v:35:y:2017:i:82:p:16-30.

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  2. Azzimonti, M., & Quadrini, V. (2016). The politics of sovereign default under financial integration. In Working paper. Stony Brooks University and University of Southern California.
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  3. Azzimonti, M., de Francisco, E., & Quadrini, V. (2014). Financial globalization, inequality, and the rising public debt. American Economic Review, 104(8), 2267–2302.

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  7. Documento descargado de http://www.elsevier.es el 06/04/2017. Copia para uso personal, se prohíbe la transmisión de este documento por cualquier medio o formato.
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  8. Lane, P. R., & Milesi-Ferretti, G. M. (2007). The External Wealth of Nations Mark II: Revised and Extended Estimates of Foreign Assets and Liabilities, 1970-2004. Journal of International Economics, 73(2), 223–250.

  9. Lizarazo, S. V. (2012). Contagion of financial crises in sovereign debt markets. MPRA paper no. 20795.
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  10. Lizarazo, S. V. (2013). Default risk and risk averse international investors. Journal of International Economics, 89(2), 317–330.

  11. Volkan, E. (2008). Sovereign default risk, risk averse investors and financial contagion (Ph.D. dissertation). University of Southern California.
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