Reliance of sovereign credit ratings on governance indicators
Year of publication: |
April 2016
|
---|---|
Authors: | Ozturk, Huseyin |
Published in: |
The European journal of development research : journal of the European Association of Development Research and Training Institutes (EADI). - London : Palgrave Macmillan, ISSN 0957-8811, ZDB-ID 1045307-6. - Vol. 28.2016, 2, p. 184-212
|
Subject: | credit rating | governance indicators | developed country | developing country | Governance-Ansatz | Governance approach | Entwicklungsländer | Developing countries | Kreditwürdigkeit | Credit rating | Welt | World | Länderrisiko | Country risk |
-
The origin of bias in sovereign credit ratings : reconciling agency views with institutional quality
Ozturk, Huseyin, (2014)
-
Emerging market risk and sovereign credit ratings
Larraín, Guillermo, (1997)
-
Visegrad Four countries and their sovereign credit rating
Alexy, Martin, (2014)
- More ...
-
The drivers of credit default swap prices : evidence from selected emerging market countries
Ertugrul, Hasan Murat, (2013)
-
Yield curve as a predictor of recessions : evidence from panel data
Ozturk, Huseyin, (2013)
-
Aysan, Ahmet Faruk, (2013)
- More ...