Extent:
Online-Ressource (44 p)
Series:
IMF Working Papers ; v.Working Paper No. 09/222
IMF working paper ; WP/09/222
Type of publication: Book / Working Paper
Language: English
Notes:
Description based upon print version of record
Cover Page; Title Page; Copyright Page; Contents; I. Introduction; 1. Selected Euro Area Sovereign Spreads, June 2008-09; 2. Dispersion in Euro Area Sovereign Spreads, January 2001-June 2009; II. Euro Area Sovereign Risk and the Crisis: Stylized Facts; 3. Headline Deficit: Contributions from Automatic Stabilizers and Discretionary Measures; 4. Up-front Government Financing Need to Shore Up the Financial Sector; 5. From Credit Risk to Sovereign Risk: The Case of Ireland; 6. Sovereign Spreads and Financial EDFs in Euro Area Countries; III. Dissecting Common Risk
7. Estimated Common Component in Sovereign Spreads1. Explaining Common Factor's Dynamics; IV. Explaining Developments in Euro Area Sovereign Risk During The Crisis; 8. A Preliminary Look at the Determinants of Spreads Behavior; 2. Panel Estimates; 9. Contributions to the Change in Spreads, January 2003-January 2009; 3. Seemingly Unrelated Regression Estimates, January 2003-January 2009; 4. Seemingly Unrelated Regression Estimates, January 2003-March 2009; 10. Contributions to the Change in Spreads, January 2003-March 2009; V. Conclusion; References; Footnotes
ISBN: 978-1-4518-7369-6 ; 978-1-4527-4905-1 ; 978-1-4518-7369-6
Source:
ECONIS - Online Catalogue of the ZBW
Persistent link: https://www.econbiz.de/10012677887