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ECB policy and Eurozone fragility: Was De Grauwe right?. (2015). Fuertes, Ana-Maria ; Saka, Orkun ; Kalotychou, Elena.
In: Journal of International Money and Finance.
RePEc:eee:jimfin:v:54:y:2015:i:c:p:168-185.

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  1. Does one size fit all in the Euro Area? Some counterfactual evidence. (2024). Gasteiger, Emanuel ; Fragetta, Matteo ; Destefanis, Sergio.
    In: Empirical Economics.
    RePEc:spr:empeco:v:67:y:2024:i:4:d:10.1007_s00181-024-02597-w.

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  2. Quantifying sovereign risk in the euro area. (2024). Sosvilla-Rivero, Simon ; Gómez-Puig, Marta ; Gomez-Puig, Marta ; Singh, Manish K.
    In: IREA Working Papers.
    RePEc:ira:wpaper:202403.

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  3. Fiscal consolidation and its growth effects in euro area countries: Past, present and future outlook. (2024). Heimberger, Philipp.
    In: FMM Working Paper.
    RePEc:imk:fmmpap:109-2024.

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  4. Sovereign spread divergence owing to inflation and redenomination risk countered by unconventional monetary policy in the Eurozone. (2024). Kiss, Gábor Dávid ; Alipanah, Sabri.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:131:y:2024:i:c:s026499932300425x.

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  5. From Policy to Regime: the changing posture of the ECB between liquidity and collateral through the lens of Monetary Regime. (2023). Goghie, Alexandru-Stefan ; Giordano, Matteo.
    In: SocArXiv.
    RePEc:osf:socarx:rw3ms_v1.

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  6. From Policy to Regime: the changing posture of the ECB between liquidity and collateral through the lens of Monetary Regime. (2023). Giordano, Matteo ; Goghie, Alexandru-Stefan.
    In: SocArXiv.
    RePEc:osf:socarx:rw3ms.

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  7. Dynamic connectedness between credit and liquidity risks in euro area sovereign debt markets. (2023). Sosvilla-Rivero, Simon ; Gómez-Puig, Marta ; Pieterse-Bloem, Mary ; Gomez-Puig, Marta.
    In: Journal of Multinational Financial Management.
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  8. Eurozone government bond spreads: A tale of different ECB policy regimes. (2023). , Sylvester ; Pieterse-Bloem, Mary.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:139:y:2023:i:c:s0261560623001663.

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  9. Public debt and r-g risks in advanced economies: Eurozone versus stand-alone. (2023). Heimberger, Philipp.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:136:y:2023:i:c:s0261560623000785.

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  10. Transmission of the Greek crisis on the sovereign debt markets in the euro area. (2022). Tahi, Sofiane ; Kchaou, Oussama ; Bellalah, Makram.
    In: Annals of Operations Research.
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  11. Preventing Self-Fulfilling Debt Crises: A Global Games Approach. (2022). Szkup, Michal.
    In: Review of Economic Dynamics.
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  12. Spillovers from one country’s sovereign debt to CDS (credit default swap) spreads of others during the European crisis: a spatial approach. (2022). Önder, A. Özlem ; Onder, Ozlem A ; Muradolu, Gulnur Y ; Kila, Gul Huyuguzel.
    In: Journal of Asset Management.
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  13. The evolution of debtor-creditor relationships within a monetary union: Trade imbalances, excess reserves and economic policy. (2022). Schütz, Bernhard ; Landesmann, Michael ; Kapeller, Jakob ; Heimberger, Philipp ; Gräbner-Radkowitsch, Claudius ; Grabner-Radkowitsch, Claudius ; Schutz, Bernhard.
    In: Structural Change and Economic Dynamics.
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  14. Impacts of sovereign risk premium on bank profitability: Evidence from euro area. (2022). Junttila, Juha ; Sang, Vo Cao.
    In: International Review of Financial Analysis.
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  15. Does one size fit all in the Euro Area? Some counterfactual evidence. (2021). Gasteiger, Emanuel ; Fragetta, Matteo ; Destefanis, Sergio.
    In: ECON WPS - Working Papers in Economic Theory and Policy.
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  16. The evolution of debtor-creditor relationships within a monetary union: Trade imbalances, excess reserves and economic policy. (2021). Schütz, Bernhard ; Landesmann, Michael ; Kapeller, Jakob ; Heimberger, Philipp ; Gräbner-Radkowitsch, Claudius ; Grabner, Claudius ; Schutz, Bernhard.
    In: ifso working paper series.
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  17. The response of precious metal futures markets to unconventional monetary surprises in the presence of uncertainty. (2021). Chebbi, Tarek.
    In: International Journal of Finance & Economics.
    RePEc:wly:ijfiec:v:26:y:2021:i:2:p:1897-1916.

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  18. Bank Credit Risk Events and Peers’ Equity Value. (2021). Robles Fernandez, M. Dolores ; Fuertes, Ana-Maria.
    In: Documentos de Trabajo del ICAE.
    RePEc:ucm:doicae:2106.

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  19. The evolution of debtor-creditor relationships within a monetary union: Trade imbalances, excess reserves and economic policy. (2021). Schütz, Bernhard ; Landesmann, Michael ; Kapeller, Jakob ; Heimberger, Philipp ; Gräbner-Radkowitsch, Claudius.
    In: ICAE Working Papers.
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  20. Does Media Visibility Make EU Fiscal Rules More Effective?. (2021). MOURRE, Gilles ; Mohl, Philipp ; Langedijk, Sven ; Hoogeland, Martijn.
    In: European Economy - Discussion Papers.
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  21. EMU risk-synchronisation and financial fragility through the prism of dynamic connectedness. (2021). Gabauer, David ; Chatziantoniou, Ioannis.
    In: The Quarterly Review of Economics and Finance.
    RePEc:eee:quaeco:v:79:y:2021:i:c:p:1-14.

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  22. The relative pricing of sovereign credit risk after the Eurozone crisis. (2021). Corvino, Raffaele ; Ruggiero, Francesco.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:112:y:2021:i:c:s026156062030293x.

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  23. Bank credit risk events and peers equity value. (2021). Robles Fernandez, M. Dolores ; Fuertes, Ana-Maria.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:75:y:2021:i:c:s1057521921000119.

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  24. Quantifying sovereign risk in the euro area. (2021). Sosvilla-Rivero, Simon ; Singh, Manish ; Gómez-Puig, Marta ; Gomez-Puig, Marta.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:95:y:2021:i:c:p:76-96.

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  25. Public debt, sovereign spreads and the unpleasant arithmetic of fiscal consolidations. (2021). Minetti, Raoul ; Di Pietro, Marco ; Marattin, Luigi.
    In: International Finance.
    RePEc:bla:intfin:v:24:y:2021:i:2:p:155-178.

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  26. EMU deepening and sovereign debt spreads: using political space to achieve policy space. (2021). Pérez, Javier ; Kataryniuk, Iván ; Mora-Bajen, Victor ; Perez, Javier J.
    In: Working Papers.
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  27. Domestic Banks As Lightning Rods? Home Bias and Information during the Eurozone Crisis. (2020). Saka, Orkun.
    In: Journal of Money, Credit and Banking.
    RePEc:wly:jmoncb:v:52:y:2020:i:s1:p:273-305.

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  28. Economic volatility and sovereign yields’ determinants: a time-varying approach. (2020). Jalles, Joao ; Afonso, Antonio.
    In: Empirical Economics.
    RePEc:spr:empeco:v:58:y:2020:i:2:d:10.1007_s00181-018-1540-6.

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  29. Monetary Policy Transmission to Russia and Eastern Europe. (2020). Grigoriadis, Theocharis ; Stann, Carsten M.
    In: Comparative Economic Studies.
    RePEc:pal:compes:v:62:y:2020:i:2:d:10.1057_s41294-020-00114-3.

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  30. We serve the people of Europe: reimagining the ECBs political master in the wake of its emergency politics. (2020). Lokdam, Hjalte.
    In: LSE Research Online Documents on Economics.
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  31. ‘We Serve the People of Europe’: Reimagining the ECBs Political Master in the Wake of its Emergency Politics. (2020). Lokdam, Hjalte.
    In: Journal of Common Market Studies.
    RePEc:bla:jcmkts:v:58:y:2020:i:4:p:978-998.

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  32. Economic polarisation in Europe: Causes and policy options. (2019). Kapeller, Jakob ; Heimberger, Philipp ; Gräbner-Radkowitsch, Claudius ; Grabner, Claudius.
    In: ifso working paper series.
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  33. Domestic banks as lightning rods? Home bias and information during Eurozone crisis. (2019). Saka, Orkun.
    In: Bank of Finland Research Discussion Papers.
    RePEc:zbw:bofrdp:rdp2019_003.

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  34. EMU-Risk Synchronisation and Financial Fragility Through the Prism of Dynamic Connectedness. (2019). Gabauer, David ; Chatziantoniou, Ioannis.
    In: Working Papers in Economics & Finance.
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  35. Macroeconomic convergence in the West African monetary zone: Evidence from rank tests. (2019). Gyamfi, Emmanuel Numapau ; Appiah, Emily Frimpomaa ; Adam, Anokye Mohammed.
    In: Economics and Business Letters.
    RePEc:ove:journl:aid:13248.

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  36. Economic Polarisation in Europe: Causes and Policy Options. (2019). Kapeller, Jakob ; Heimberger, Philipp ; Gräbner-Radkowitsch, Claudius.
    In: ICAE Working Papers.
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  37. Givers or Recipients? Co-Movements between Stock Markets of CEE-3 and Developed Countries. (2019). Grabowski, Wojciech.
    In: Sustainability.
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  38. News Releases, Credit Rating Announcements, and Anti-Crisis Measures as Determinants of Sovereign Bond Spreads in the Peripheral Euro-Area Countries. (2019). Grabowski, Wojciech ; Stawasz-Grabowska, Ewa.
    In: Czech Journal of Economics and Finance (Finance a uver).
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  39. Has the Grexit news affected euro area financial markets?. (2019). Sacchi, Agnese ; Gregori, Wildmer Daniel.
    In: The North American Journal of Economics and Finance.
    RePEc:eee:ecofin:v:49:y:2019:i:c:p:71-84.

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  40. Euro area sovereign risk spillovers before and after the ECBs OMT announcement. (2019). Gilbert, Niels.
    In: Working Papers.
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  41. Public Debt Sustainability. (2019). Wyplosz, Charles ; Willems, Tim ; Ostry, Jonathan ; Debrun, Xavier.
    In: CEPR Discussion Papers.
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  42. Domestic Banks as Lightning Rods? Home Bias and Information during the Eurozone Crisis. (2019). Saka, Orkun.
    In: CESifo Working Paper Series.
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  43. Complexity, Uncertainty, and Monetary Policy: Can the ECB Avoid the Unconventional Becoming the ‘New Normal’?. (2019). Hartwell, Christopher.
    In: The Economists' Voice.
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  44. Domestic banks as lightning rods? Home bias and information during Eurozone crisis. (2019). Saka, Orkun.
    In: Research Discussion Papers.
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  45. The Macroeconomic Impact of the Euro. (2019). Smith, Ronald ; Akhmadieva, Veronika.
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  46. Domestic banks as lightning rods? Home bias and information during Eurozone crisis. (2018). Saka, Orkun.
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  47. “Whatever it takes” to resolve the European sovereign debt crisis? Bond pricing regime switches and monetary policy effects. (2018). Kontonikas, Alexandros ; Gadea, María ; Arghyrou, Michael ; Afonso, Antonio.
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  48. The re-pricing of sovereign risks following the Global Financial Crisis. (2018). Migiakis, Petros ; Malliaropulos, Dimitrios.
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  49. Risk perceptions and fundamental effects on sovereign spreads. (2018). Migiakis, Petros ; Georgoutsos, Dimitris.
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  50. Behavioral Finance and Efficient Markets: What does the Euro Crisis Tell us?. (2017). Du, Wenti ; Bird, Graham ; Willett, Thomas.
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  51. Has the Grexit news affected euro area financial markets?. (2017). Sacchi, Agnese ; Gregori, Wildmer Daniel.
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  52. Whatever it takes to resolve the European sovereign debt crisis? Bond pricing regime switches and monetary policy effects. (2017). Kontonikas, Alexandros ; Gadea, María ; Arghyrou, Michael ; Afonso, Antonio.
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  53. Domestic banks as lightning rods? Home bias during the Eurozone crisis. (2017). Saka, Orkun.
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  54. The EU debt crisis: Testing and revisiting conventional legal doctrine. (2017). Ji, Yuemei ; De Grauwe, Paul ; Steinbach, Armin.
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  55. Whatever it takes to Resolve the European Sovereign Debt Crisis? Bond Pricing Regime Switches and Monetary Policy Effects. (2017). Kontonikas, Alexandros ; Gadea, María ; Arghyrou, Michael ; Afonso, Antonio.
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  59. Macroeconomic imbalances, financial stress and fiscal vulnerability in the euro area before the debt crises: A market view. (2016). Gente, Karine ; Dufrénot, Gilles ; Monsia, Fredia.
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  60. The EU debt crisis: Testing and revisiting conventional legal doctrine. (2016). Ji, Yuemei ; De Grauwe, Paul ; Steinbach, Armin.
    In: LEQS – LSE 'Europe in Question' Discussion Paper Series.
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  61. The anatomy of sovereign risk contagion. (2016). Wu, Eliza ; Remolona, Eli ; Erdem, Magdalena ; Kalotychou, Elena.
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  62. Macroeconomic imbalances, financial stress and fiscal vulnerability in the euro area before the debt crises: A market view. (2016). Gente, Karine ; Dufrénot, Gilles ; Dufrenot, Gilles ; Monsia, Fredia.
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  63. The re-pricing of sovereign risks following the global financial crisis. (2016). Migiakis, Petros ; Malliaropulos, Dimitrios.
    In: Working Papers.
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  64. Has the Grexit news spilled over into euro area financial markets? The role of domestic political leaders, supranational executives and institutions. (2016). Sacchi, Agnese ; Gregori, Wildmer Daniel.
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  6. To bail out or not to bail out? Crisis politics, credibility, and default risk in the Eurozone. (2015). .
    In: European Union Politics.
    RePEc:sae:eeupol:v:16:y:2015:i:3:p:325-346.

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  7. On Origins and Implications of the Sovereign Debt Crisis in the Euro Area. (2015). Mirdala, Rajmund ; Ruakova, Anna.
    In: MPRA Paper.
    RePEc:pra:mprapa:68859.

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  8. How the Euro-Area Sovereign-Debt Crisis Led to a Collapse in Bank Equity Prices. (2015). Tavlas, George ; Hall, Stephen ; Gibson, Heather.
    In: Discussion Papers in Economics.
    RePEc:lec:leecon:15/25.

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  9. How the Euro-Area Sovereign-Debt Crisis Led to a Collapse in Bank Equity Prices. (2015). Tavlas, George ; Hall, Stephen ; Gibson, Heather.
    In: Discussion Papers in Economics.
    RePEc:lec:leecon:15/13.

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  10. In Search of Fiscal Space in Africa: The Role of the Quality of Government Spending. (2015). Yohou, Hermann.
    In: Working Papers.
    RePEc:hal:wpaper:halshs-01222812.

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  11. Sovereign Debt Risk in Emerging Countries: Does Inflation Targeting Adoption Make Any Difference?. (2015). Minea, Alexandru ; Combes, Jean-Louis ; BALIMA, HIPPOLYTE.
    In: Working Papers.
    RePEc:hal:wpaper:halshs-01128239.

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  12. Erosion du tissu productif en France : Causes et remèdes. (2015). Ragot, Xavier ; Aglietta, Michel.
    In: Documents de Travail de l'OFCE.
    RePEc:fce:doctra:1504.

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  13. ECB policy and Eurozone fragility: Was De Grauwe right?. (2015). Fuertes, Ana-Maria ; Saka, Orkun ; Kalotychou, Elena.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:54:y:2015:i:c:p:168-185.

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  14. Does economic policy uncertainty drive CDS spreads?. (2015). Wisniewski, Tomasz Piotr ; Lambe, Brendan John.
    In: International Review of Financial Analysis.
    RePEc:eee:finana:v:42:y:2015:i:c:p:447-458.

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  15. Fear or fundamentals? Heterogeneous beliefs in the European sovereign CDS market. (2015). Wu, Eliza ; ter Ellen, Saskia ; He, Xuezhong (Tony) ; Chiarella, Carl.
    In: Journal of Empirical Finance.
    RePEc:eee:empfin:v:32:y:2015:i:c:p:19-34.

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  16. The effects of fiscal opacity on sovereign credit spreads. (2015). Peat, Maurice ; Wang, Jue ; Svec, Jiri.
    In: Emerging Markets Review.
    RePEc:eee:ememar:v:24:y:2015:i:c:p:34-45.

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  17. Public debt, population ageing and medium-term growth. (2015). Rodano, Lisa ; Papadopoulou, Niki ; Marchiori, Luca ; Kilponen, Juha ; Guarda, Paolo ; Gonzalez Pandiella, Alberto ; Gordo, Esther ; Dieppe, Alistair ; Vogel, Edgar ; Kulikov, Dmitry ; Sideris, Dimitris ; Grech, Owen ; Irac, Delphine ; Contributors, Other ; Albani, Maria ; Felix, Ricardo Mourinho ; Mora, Esther Gordo.
    In: Occasional Paper Series.
    RePEc:ecb:ecbops:2015165.

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  18. Public debt, population ageing and medium-term growth. (2015). Vogel, Edgar ; Kulikov, Dmitry ; Sideris, Dimitris ; Felix, Ricardo Mourinho ; Irac, Delphine ; Guarda, Paolo ; Dieppe, Alistair ; Grech, Owen ; Pandiella, Alberto Gonzalez ; Albani, Maria ; Marchiori, Luca ; Rodano, Lisa ; Kilponen, Juha ; Mora, Esther Gordo.
    In: Occasional Paper Series.
    RePEc:ecb:ecbops:2014165.

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  19. Sovereign Debt, Bail-Outs and Contagion in a Monetary Union. (2015). Uras, Burak ; Kobielarz, Michal ; Eijffinger, Sylvester ; Eijffinger, Sylvester C W, .
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:10459.

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  20. Expectations and systemic risk in EMU government bond spreads. (2014). Piersanti, Giovanni ; Canofari, Paolo ; Giovanni, Piersanti ; Giancarlo, Marini .
    In: wp.comunite.
    RePEc:ter:wpaper:0113.

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  21. Theory and practice of contagion in monetary unions: Domino effects in EMU Mediterranean countries. (2014). Piersanti, Giovanni ; Di Bartolomeo, Giovanni ; Canofari, Paolo.
    In: wp.comunite.
    RePEc:ter:wpaper:0109.

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  22. Credit Default Swaps: A Survey. (2014). Augustin, Patrick ; Wang, Sarah Qian ; Subrahmanyam, Marti G. ; Tang, Dragon Yongjun.
    In: Foundations and Trends(R) in Finance.
    RePEc:now:fntfin:0500000040.

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  23. The Transmission of Federal Reserve Tapering News to Emerging Financial Markets. (2014). Hutchison, Michael ; Binici, Mahir ; Aizenman, Joshua.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:19980.

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  24. Spillover Effects in Government Bond Spreads: Evidence from a GVAR Model. (2014). Niehof, Britta .
    In: MAGKS Papers on Economics.
    RePEc:mar:magkse:201458.

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  25. How the Euro-Area Sovereign-Debt Crisis Led to a Collapse in Bank Equity Prices. (2014). Tavlas, George ; Hall, Stephen ; Gibson, Heather.
    In: Discussion Papers in Economics.
    RePEc:lec:leecon:14/17.

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  26. External Imbalances and Fiscal Fragility in the Euro Area. (2014). Presbitero, Andrea ; Fratianni, Michele ; Alessandrini, Pietro ; Hallett, Andrew Hughes.
    In: Open Economies Review.
    RePEc:kap:openec:v:25:y:2014:i:1:p:3-34.

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  27. Hypnosis Before Wake-up Call? The Revival of Sovereign Credit Risk Perception in the EMU-Crisis. (2014). Schmid, Kai ; Schmidt, Michael ; Bordon, Ingo G..
    In: IMK Working Paper.
    RePEc:imk:wpaper:138-2014.

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  28. Sovereign CDS Spreads in Europe: The Role of Global Risk Aversion, Economic Fundamentals, Liquidity, and Spillovers. (2014). Sun, Yan M ; Heinz, Frigyes F.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2014/017.

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  29. Increase in home bias in the Eurozone debt crisis: the role of domestic shocks. (2014). Gimet, Céline ; Gandré, Pauline ; Cornand, Camille ; Gandre, Pauline.
    In: Working Papers.
    RePEc:hal:wpaper:halshs-01015475.

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  30. Increase in home bias in the Eurozone debt crisis: the role of domestic shocks. (2014). Gimet, Céline ; Gandré, Pauline ; Cornand, Camille ; Gandre, Pauline.
    In: Working Papers.
    RePEc:gat:wpaper:1419.

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  31. The Dynamics of Sovereign Credit Default Swaps and the Evolution of the Financial Crisis in Selected Central European Economies. (2014). Kliber, Agata.
    In: Czech Journal of Economics and Finance (Finance a uver).
    RePEc:fau:fauart:v:64:y:2014:i:4:p:330-350.

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  32. Fundamentally Wrong: Market Pricing of Sovereigns and the Greek Financial Crisis. (2014). Tavlas, George ; Hall, Stephen ; Gibson, Heather.
    In: Journal of Macroeconomics.
    RePEc:eee:jmacro:v:39:y:2014:i:pb:p:405-419.

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  33. Monetary policy and the twin crises. (2014). Lothian, James.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:49:y:2014:i:pb:p:197-210.

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  34. Sovereign default risk and state-dependent twin deficits. (2014). Rühmkorf, Ronald ; Hürtgen, Patrick ; Ruhmkorf, Ronald ; Hurtgen, Patrick.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:48:y:2014:i:pb:p:357-382.

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  35. 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.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:47:y:2014:i:c:p:239-267.

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  36. Sovereign risk premia: The link between fiscal rules and stability culture. (2014). Osterloh, Steffen ; Heinemann, Friedrich ; Kalb, Alexander.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:41:y:2014:i:c:p:110-127.

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  37. The pricing of G7 sovereign bond spreads – The times, they are a-changin. (2014). Ehrmann, Michael ; D'Agostino, Antonello ; Dagostino, Antonello.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:47:y:2014:i:c:p:155-176.

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  38. Measuring bilateral spillover and testing contagion on sovereign bond markets in Europe. (2014). Vašíček, Bořek ; Claeys, Peter ; Vaiek, Boek.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:46:y:2014:i:c:p:151-165.

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  39. How do financial institutions forecast sovereign spreads?. (2014). Poplawski-Ribeiro, Marcos ; Claeys, Peter ; Cimadomo, Jacopo.
    In: Working Paper Series.
    RePEc:ecb:ecbwps:20141750.

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  40. Systemic Sovereign Risk: Macroeconomic Implications in the Euro Area. (2014). Bahaj, Saleem.
    In: Discussion Papers.
    RePEc:cfm:wpaper:1406.

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  41. Hypnosis Before Wake-up Call?! The Revival of Sovereign Credit Risk Perception in the EMU-Crisis. (2014). Schmid, Kai ; Schmidt, Michael ; Bordon, Ingo G..
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_4946.

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  42. The Transmission of Federal Reserve Tapering News to Emerging Financial Markets. (2014). Hutchison, Michael ; Binici, Mahir ; Aizenman, Joshua.
    In: Santa Cruz Department of Economics, Working Paper Series.
    RePEc:cdl:ucscec:qt7n17z9km.

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  43. Growth, Deficits and Uncertainty: Theoretical Aspects and Empirical Evidence. (2013). Zervoyianni, Athina ; Goulas, Eleftherios.
    In: Working Paper series.
    RePEc:rim:rimwps:53_13.

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  44. Credit Ratings and the Pricing of Sovereign Debt during the Euro Crisis. (2013). Hutchison, Michael ; Binici, Mahir ; Aizenman, Joshua.
    In: NBER Working Papers.
    RePEc:nbr:nberwo:19125.

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  45. 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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  46. 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.
    RePEc:eee:quaeco:v:53:y:2013:i:4:p:380-392.

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  47. Bank/sovereign risk spillovers in the European debt crisis. (2013). Vander Vennet, Rudi ; Schepens, Glenn ; de Bruyckere, Valerie ; Gerhardt, Maria.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:12:p:4793-4809.

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  50. 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.
    RePEc:cdl:ucscec:qt1vm5d1p4.

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