Diversification, Risk Aversion and Expectation in a Holdout Scenario
Year of publication: |
2015
|
---|---|
Authors: | Eggert, Wolfgang ; Stephan, Maximilian ; Temme, Janine ; von Ungern-Sternberg, Handirk |
Publisher: |
Munich : Center for Economic Studies and ifo Institute (CESifo) |
Subject: | sovereign debt | holdout | mean-variance approach | collective action clause |
Series: | CESifo Working Paper ; 5527 |
---|---|
Type of publication: | Book / Working Paper |
Type of publication (narrower categories): | Working Paper |
Language: | English |
Other identifiers: | 836173619 [GVK] hdl:10419/123175 [Handle] RePec:ces:ceswps:_5527 [RePEc] |
Classification: | G18 - Government Policy and Regulation ; H50 - National Government Expenditures and Related Policies. General ; H63 - Debt; Debt Management |
Source: |
-
Diversification, risk aversion and expectation in a holdout scenario
Eggert, Wolfgang, (2015)
-
Holdout behaviour : a question of diversification, risk aversion and expectation
Eggert, Wolfgang, (2016)
-
States, Banks, and the Financing of the Economy: Fiscal Policy and Sovereign Risk Perspectives
Egger, Peter H.,
- More ...
-
Holdout behaviour : a question of diversification, risk aversion and expectation
Eggert, Wolfgang, (2016)
-
Diversification, risk aversion and expectation in a holdout scenario
Eggert, Wolfgang, (2015)
-
Diversification, Risk Aversion and Expectation in a Holdout Scenario
Eggert, Wolfgang, (2015)
- More ...