Michael G. Papaioannou
Identifiers
- Open LibraryOL542425A
Top Subjects
- Futures market (1)
- Developing countries (1)
- Bond market (1)
- Investment & securities (1)
- Business / Economics / Finance (1)
- Capital market (1)
- Investments & Securities - General (1)
Books by Michael G. Papaioannou
Total count: 26
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Portfolio performance of the SDR and reserve currenciestests using the ARCH methodologyInternational Monetary Fund1993-01-01
Emerging Market PortfoliosDiversification and Hedging StrategiesIrwin Professional Pub1996-12-01-
Determinants of the choice of exchange rate regimes in six Central American countriesan empirical analysisInternational Monetary Fund, Western Hemisphere Department2003-01-01
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Exchange rate risk measurement and managementissues and approaches for firmsInternational Monetary Fund, Monetary and Capital Markets2006-01-01
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A primer for risk measurement of bonded debt from the perspective of a sovereign debt managerInternational Monetary Fund, Monetary and Capital Markets2006-01-01
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Strategic Considerations for First-Time Sovereign Bond IssuersInternational Monetary Fund2008-01-01
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Credit, Currency or DerivativesInstruments of Global Financial Stability or Crisis?Emerald Publishing Limited2009-01-01
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Unwinding Financial Sector InterventionsPreconditions and Practical ConsiderationsInternational Monetary Fund2010-01-01
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Sovereign Default Risk and Private Sector Access to Capital in Emerging MarketsInternational Monetary Fund2010-01-01
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Determinants of Emerging Market Sovereign Bond SpreadsFundamentals vs Financial StressInternational Monetary Fund2010-01-01
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Managing Public Debt and Its Financial Stability ImplicationsInternational Monetary Fund2010-01-01
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Sovereign Risk and Asset and Liability Management--Conceptual IssuesInternational Monetary Fund2012-01-01
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Sovereign Debt Restructurings 1950 - 2010Literature Survey, Data, and Stylized FactsInternational Monetary Fund2012-01-01
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Sovereign Risk and Asset and Liability ManagementConceptual IssuesInternational Monetary Fund2012-01-01
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Sovereign Wealth FundsAspects of Governance Structures and Investment ManagementInternational Monetary Fund2013-01-01
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Procyclical Behavior of Institutional Investors During the Recent Financial CrisisCauses, Impacts, and ChallengesInternational Monetary Fund2013-01-01
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Causes, Impacts, and ChallengesInternational Monetary Fund2013-01-01
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Distributional Consequences of Fiscal Consolidation and the Role of Fiscal PolicyWhat Do the Data Say?International Monetary Fund2013-01-01
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After ParisFiscal, Macroeconomic and Financial Implications of Global Climate ChangeInternational Monetary Fund2016-01-01
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Sovereign Debt Restructurings in GrenadaCauses, Processes, Outcomes, and Lessons LearnedInternational Monetary Fund2017-01-01
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Assessing Loss of Market AccessConceptual and Operational IssuesInternational Monetary Fund2017-01-01
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Primer on Managing Sovereign Debt-Portfolio RisksInternational Monetary Fund2018-01-01
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Commodity-Based Sovereign Wealth FundsManaging Financial Flows in the Context of the Sovereign Balance SheetInternational Monetary Fund2018-01-01
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Belize's 2016-17 Sovereign Debt Restructuring - Third Time Lucky?International Monetary Fund2018-01-01
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Sovereign Asset and Liability Management in Emerging Market Countriesthe Case of UruguayInternational Monetary Fund2019-01-01
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Do Enhanced Collective Action Clauses Affect Sovereign Borrowing Costs?International Monetary Fund2020-01-01