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Fiscal Space and Policy Response to Financial Crises: Market Access and Deficit Concerns. (2024). Venetis, Ioannis ; Salamaliki, Paraskevi.
In: Open Economies Review.
RePEc:kap:openec:v:35:y:2024:i:2:d:10.1007_s11079-023-09724-7.

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  1. Two faces of the same coin: integrated perspectives of public and private debt on the effects of interdependence on financial stability. (2024). Niu, Rare-Mihai.
    In: Theoretical and Applied Economics.
    RePEc:agr:journl:v:xxxi:y:2024:i:4(641):p:119-128.

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Cocites

Documents in RePEc which have cited the same bibliography

  1. Fiscal Space and Policy Response to Financial Crises: Market Access and Deficit Concerns. (2024). Venetis, Ioannis ; Salamaliki, Paraskevi.
    In: Open Economies Review.
    RePEc:kap:openec:v:35:y:2024:i:2:d:10.1007_s11079-023-09724-7.

    Full description at Econpapers || Download paper

  2. Adapting fiscal strategies to energy and food price shocks in Portugal. (2024). Mamboundou, Pierre ; Escalante, Luis.
    In: Economic Analysis and Policy.
    RePEc:eee:ecanpo:v:82:y:2024:i:c:p:651-665.

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  3. Does fear of floating shape monetary policy and does it matter?. (2024). Ozkan, Gulcin ; McManus, Richard ; Ahmad, Asif.
    In: Economics Bulletin.
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  4. Fiscal multipliers, public debt anchor and government credibility in a behavioural macroeconomic model.. (2023). Metz, Théo ; Betti, Thierry ; Barbier-Gauchard, Amelie.
    In: Working Papers of BETA.
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  5. Fiscal multipliers, public debt anchor and government credibility in a behavioural macroeconomic model. (2023). Betti, Thierry ; Metz, Theo ; Barbier-Gauchard, Amelie.
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  6. Synchronization and cyclicality of social spending in economic crises. (2022). Sonia, de Lucas Santos ; Ayala, Luis ; de Lucas-Santos, Sonia ; Delgado-Rodriguez, Maria Jesus ; Ayala-Caon, Luis.
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  7. How connected is the global sovereign credit risk network?. (2020). Yilmaz, Kamil ; Bostanci, Gorkem.
    In: Journal of Banking & Finance.
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  8. How do Experts Forecast Sovereign Spreads?. (2016). Poplawski-Ribeiro, Marcos ; Claeys, Peter ; Cimadomo, Jacopo ; Poplawskiribeiro, Marcos.
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  9. The quest for banking stability in the euro area: The role of government interventions. (2016). Paltalidis, Nikos ; Kizys, Renatas ; Vergos, Konstantinos.
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  10. Sovereign Debt, Bail-Outs and Contagion in a Monetary Union. (2015). Uras, Burak ; Kobielarz, Michal ; Eijffinger, Sylvester ; Eijffinger, S. C. W., .
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  11. Sovereign debt spread and default in a model with self fullfilling prophecies ans asymmetric information. (2015). Timbeau, Xavier ; Ducoudré, Bruno ; Blot, Christophe ; Ducoudre, Bruno.
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  12. To bail out or not to bail out? Crisis politics, credibility, and default risk in the Eurozone. (2015). .
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  13. On Origins and Implications of the Sovereign Debt Crisis in the Euro Area. (2015). Mirdala, Rajmund ; Ruakova, Anna.
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  14. How the Euro-Area Sovereign-Debt Crisis Led to a Collapse in Bank Equity Prices. (2015). Tavlas, George ; Hall, Stephen ; Gibson, Heather.
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  15. How the Euro-Area Sovereign-Debt Crisis Led to a Collapse in Bank Equity Prices. (2015). Tavlas, George ; Hall, Stephen ; Gibson, Heather.
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  16. In Search of Fiscal Space in Africa: The Role of the Quality of Government Spending. (2015). Yohou, Hermann.
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  20. Does economic policy uncertainty drive CDS spreads?. (2015). Wisniewski, Tomasz Piotr ; Lambe, Brendan John.
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  21. Fear or fundamentals? Heterogeneous beliefs in the European sovereign CDS market. (2015). Wu, Eliza ; ter Ellen, Saskia ; He, Xuezhong (Tony) ; Chiarella, Carl.
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  22. The effects of fiscal opacity on sovereign credit spreads. (2015). Peat, Maurice ; Wang, Jue ; Svec, Jiri.
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  25. Sovereign Debt, Bail-Outs and Contagion in a Monetary Union. (2015). Uras, Burak ; Kobielarz, Michal ; Eijffinger, Sylvester ; Eijffinger, Sylvester C W, .
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  26. Expectations and systemic risk in EMU government bond spreads. (2014). Piersanti, Giovanni ; Canofari, Paolo ; Giovanni, Piersanti ; Giancarlo, Marini .
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  28. Credit Default Swaps: A Survey. (2014). Augustin, Patrick ; Wang, Sarah Qian ; Subrahmanyam, Marti G. ; Tang, Dragon Yongjun.
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  29. The Transmission of Federal Reserve Tapering News to Emerging Financial Markets. (2014). Hutchison, Michael ; Binici, Mahir ; Aizenman, Joshua.
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  30. Spillover Effects in Government Bond Spreads: Evidence from a GVAR Model. (2014). Niehof, Britta .
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  31. How the Euro-Area Sovereign-Debt Crisis Led to a Collapse in Bank Equity Prices. (2014). Tavlas, George ; Hall, Stephen ; Gibson, Heather.
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  32. External Imbalances and Fiscal Fragility in the Euro Area. (2014). Presbitero, Andrea ; Fratianni, Michele ; Alessandrini, Pietro ; Hallett, Andrew Hughes.
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  33. Hypnosis Before Wake-up Call? The Revival of Sovereign Credit Risk Perception in the EMU-Crisis. (2014). Schmid, Kai ; Schmidt, Michael ; Bordon, Ingo G..
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  34. Sovereign CDS Spreads in Europe: The Role of Global Risk Aversion, Economic Fundamentals, Liquidity, and Spillovers. (2014). Sun, Yan M ; Heinz, Frigyes F.
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  35. Increase in home bias in the Eurozone debt crisis: the role of domestic shocks. (2014). Gimet, Céline ; Gandré, Pauline ; Cornand, Camille ; Gandre, Pauline.
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  36. Increase in home bias in the Eurozone debt crisis: the role of domestic shocks. (2014). Gimet, Céline ; Gandré, Pauline ; Cornand, Camille ; Gandre, Pauline.
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  37. The Dynamics of Sovereign Credit Default Swaps and the Evolution of the Financial Crisis in Selected Central European Economies. (2014). Kliber, Agata.
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  38. Fundamentally Wrong: Market Pricing of Sovereigns and the Greek Financial Crisis. (2014). Tavlas, George ; Hall, Stephen ; Gibson, Heather.
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  39. Monetary policy and the twin crises. (2014). Lothian, James.
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  40. Sovereign default risk and state-dependent twin deficits. (2014). Rühmkorf, Ronald ; Hürtgen, Patrick ; Ruhmkorf, Ronald ; Hurtgen, Patrick.
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  41. Are European sovereign bonds fairly priced? The role of modelling uncertainty. (2014). Hessel, Jeroen ; de Haan, Leo ; End, Jan Willem ; van den End, Jan Willem.
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  42. Sovereign risk premia: The link between fiscal rules and stability culture. (2014). Osterloh, Steffen ; Heinemann, Friedrich ; Kalb, Alexander.
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  43. The pricing of G7 sovereign bond spreads – The times, they are a-changin. (2014). Ehrmann, Michael ; D'Agostino, Antonello ; Dagostino, Antonello.
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  44. Measuring bilateral spillover and testing contagion on sovereign bond markets in Europe. (2014). Vašíček, Bořek ; Claeys, Peter ; Vaiek, Boek.
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  45. How do financial institutions forecast sovereign spreads?. (2014). Poplawski-Ribeiro, Marcos ; Claeys, Peter ; Cimadomo, Jacopo.
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  46. Systemic Sovereign Risk: Macroeconomic Implications in the Euro Area. (2014). Bahaj, Saleem.
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  47. Hypnosis Before Wake-up Call?! The Revival of Sovereign Credit Risk Perception in the EMU-Crisis. (2014). Schmid, Kai ; Schmidt, Michael ; Bordon, Ingo G..
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  48. The Transmission of Federal Reserve Tapering News to Emerging Financial Markets. (2014). Hutchison, Michael ; Binici, Mahir ; Aizenman, Joshua.
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  49. Growth, Deficits and Uncertainty: Theoretical Aspects and Empirical Evidence. (2013). Zervoyianni, Athina ; Goulas, Eleftherios.
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  50. Credit Ratings and the Pricing of Sovereign Debt during the Euro Crisis. (2013). Hutchison, Michael ; Binici, Mahir ; Aizenman, Joshua.
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  51. FUNDAMENTALLY WRONG: MARKET PRICING OF SOVEREIGNS AND THE GREEK FINANCIAL CRISIS. (2013). Tavlas, George ; Hall, Stephen ; Gibson, Heather.
    In: Discussion Papers in Economics.
    RePEc:lec:leecon:13/20.

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  52. Growth, deficits and uncertainty: Theoretical aspects and empirical evidence from a panel of 27 countries. (2013). Zervoyianni, Athina ; Goulas, Eleftherios.
    In: The Quarterly Review of Economics and Finance.
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  53. Bank/sovereign risk spillovers in the European debt crisis. (2013). Vander Vennet, Rudi ; Schepens, Glenn ; de Bruyckere, Valerie ; Gerhardt, Maria.
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  56. The Fiscal Stimulus of 2009-10: Trade Openness, Fiscal Space and Exchange Rate Adjustment. (2011). Aizenman, Joshua ; Jinjarak, Yothin.
    In: Santa Cruz Department of Economics, Working Paper Series.
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