Systemic risk in European sovereign debt markets: A CoVaR-copula approach
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Portfolio and welfare consequences of debt market dominance ☆
Causality and contagion in EMU sovereign debt markets
Pecking order, access to public debt market, and information asymmetry
Sovereign debt markets in turbulent times: Creditor discrimination and crowding-out effects
Credit cycle dependent spread determinants in emerging sovereign debt markets
Credit market conditions and the impact of access to the public debt market on corporate leverage
Optimal taxation with endogenously incomplete debt markets
Is foreign exchange intervention by central banks bad news for debt markets? : A case of Reserve Bank of Australia's interventions 1986–2003
Renegotiation, collective action clauses and sovereign debt markets
Choice of Financing Source in International Debt Markets
Speed of issuance and the adequacy of disclosure in the 144A high-yield debt market