Sovereign Credit Ratings and Spreads in Emerging Markets; Does Investment Grade Matter?
Year of publication: |
2011-03-01
|
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Institutions: | International Monetary Fund (IMF) ; International Monetary Fund |
Subject: | Sovereign debt | Emerging markets | Credit risk | Economic models | public debt | external public debt | standard deviation | external debt | standard errors | equation | domestic public debt | probability | fixed effects model | dummy variables | domestic growth | regression analysis | explanatory power | numerical values | debt burden | market debt | debt reduction | samples | horizontal axis | sovereign bond | reserve bank | foreign debt | global liquidity | correlation | domestic debt | debt problems | time series | national debt | debt management | international lending | empirical model | equations | logarithm | empirical specification |
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