Safe Assets, Credit Provision and Debt Management
Author:
Publisher
Springer Science and Business Media LLC
Subject
Economics and Econometrics
Link
http://link.springer.com/content/pdf/10.1007/s11079-019-09542-w.pdf
Reference35 articles.
1. Acharya VV, Eisert T, Eufinger C, Hirsch C (2018) Real effects of the Sovereign Debt Crisis in Europe: Evidence from Syndacated Loans. Rev Financ Stud 31(8):2855–2896
2. Altavilla C, Pagano M, Simonelli S (2017) Bank exposures and Sovereign Stress Transmission. Eur Finan Rev 21(6):2103–2139
3. Avino D, Cotter J (2014) J.cotter Sovereign and bank CDS spreads: Two sides of the same coin?. J Int Financ Market Inst Money 32:72–85
4. Becker B, Ivashina V (2018) Financial Repression in the European Sovereign Debt Crisis. Rev Financ 22(1):83–115
5. Benigno P, Nisticò S (2017) Safe assets, liquidity and monetary policy. Amer Econ J: Macroecon 9(2):182–227
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