The importance of trade and capital imbalances in the European debt crisis
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Sovereign public debt crisis in Europe. A network analysis
Equity returns in the banking sector in the wake of the Great Recession and the European sovereign debt crisis
Performance persistence in fixed interest funds: With an eye on the post-debt crisis period
News spillovers from the Greek debt crisis: Impact on the Eurozone financial sector
The euro area sovereign debt crisis: Identifying flight-to-liquidity and the spillover mechanisms
The euro area sovereign debt crisis: Can contagion spread from the periphery to the core?
The sovereign-bank rating channel and rating agencies' downgrades during the European debt crisis
The impact of the sovereign debt crisis on the activity of Italian banks
Bank regulation, risk and return: Evidence from the credit and sovereign debt crises
VaR performance during the subprime and sovereign debt crises: An application to emerging markets
Transmission of the debt crisis: From EU15 to USA or vice versa? A GVAR approach
Measuring Contagious Effects on Euro Area Debt Crisis Using Daily CDS Spreads Changes ☆
Hedging European government bond portfolios during the recent sovereign debt crisis
Investor induced contagion during the banking and European sovereign debt crisis of 2007–2012: Wealth effect or portfolio rebalancing? ☆
Is the European debt crisis a mere balance of payments crisis?
The euro exchange rate during the European sovereign debt crisis – Dancing to its own tune? ☆
Central bank swap line effectiveness during the euro area sovereign debt crisis
Expectations hypothesis in the context of debt crisis: Evidence from five major EU countries
European Sovereign Debt Crisis and the performance of Dutch IPOs
From the credit crisis to the sovereign debt crisis: Determinants of share price performance of global banks
Bank/sovereign risk spillovers in the European debt crisis
The economy of Portugal and the European Union: From high growth prospects to the debt crisis
Cultural economy, sovereign debt crisis and the importance of local contexts: The case of Athens
Do words matter? The impact of communication on the PIIGS' CDS and bond yield spreads during Europe's sovereign debt crisis
Liquidity spillovers in sovereign bond and CDS markets: An analysis of the Eurozone sovereign debt crisis
From Open Source to Open Innovation practices: A case in the Greek context in light of the debt crisis
Sovereign bond yield spillovers in the Euro zone during the financial and debt crisis
The pricing of sovereign risk and contagion during the European sovereign debt crisis
The EMU sovereign-debt crisis: Fundamentals, expectations and contagion
The Euro Area Sovereign Debt Crisis and the Role of ECB's Monetary Policy
Sovereign debt crisis in the European Union: A minimum spanning tree approach
Sovereign debt disputes: A database on government coerciveness during debt crises
Transmission of the financial and sovereign debt crises to the EMU: Stock prices, CDS spreads and exchange rates
The effect of IMF lending on the probability of sovereign debt crises
Towards a new research programme on ‘banking and the economy’ — Implications of the Quantity Theory of Credit for the prevention and resolution of banking and debt crises
Crash risk of the euro in the sovereign debt crisis of 2009–2010
Predicting sovereign debt crises using artificial neural networks: A comparative approach
Optimal design of early warning systems for sovereign debt crises
Early warning systems for sovereign debt crises: The role of heterogeneity
Rating the rating agencies: Anticipating currency crises or debt crises?
Crisis costs and debtor discipline: the efficacy of public policy in sovereign debt crises