Intertemporal diversification of sub-sovereign debt
Year of publication: |
2020
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Authors: | Knezevic, David |
Published in: |
Empirical economics : a journal of the Institute for Advanced Studies, Vienna, Austria. - Berlin : Springer, ISSN 0377-7332, ZDB-ID 519394-1. - Vol. 58.2020, 2, p. 453-487
|
Subject: | Short-term debt | Term structure | Liquidity risk | Roll-over risk | Asset-liability management | Debt maturity | Financial crisis | Theorie | Theory | Fälligkeit | Maturity | Zinsstruktur | Yield curve | Finanzkrise | Portfolio-Management | Portfolio selection | Öffentliche Schulden | Public debt | Schuldenmanagement | Debt management | Kapitalstruktur | Capital structure | Internationale Staatsschulden | International sovereign debt | Risiko | Risk | Kreditrisiko | Credit risk | Bankenliquidität | Bank liquidity | Bilanzstrukturmanagement |
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