1. Aizenman, J., Hutchison, M., 2012. What is the risk of European sovereign debt defaults? Fiscal space, CDS spreads and market pricing of risk. In: Paper Presented at the Conference on “The European Sovereign Debt Crisis: Background and Perspectives”, Organized by the Danmarks Nationalbank/JIMF, April 13–14, 2012.
2. Arghyrou, M., Kontonikas, A., 2010. The EMU Sovereign-debt Crisis: Fundamentals, Expectations and Contagion. Cardiff Economics Working Papers, E2010/9.
3. Attinasi, M., Checherita, C., Nickel, C., 2009. What Explains the Surge in Euro Area Sovereign Spreads During the Financial Crisis of 2007–09? ECB Working Paper, No 1131, December.
4. Beirne, J., Fratzscher, F., 2012. Pricing and mispricing of sovereign debt in the Euro area during the crisis. In: Paper Presented at the Conference on “The European Sovereign Debt Crisis: Background and Perspectives”, Organized by the Danmarks Nationalbank/JIMF, April 13–14, 2012.
5. Borgy, V., Laubach, T., Mesonnier, J.-S., Renne, J.-P., 2011 March. Fiscal Policy, Default Risk and Euro Area Sovereign Bond Spreads, (unpublished), Banque de France.