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We examine the sustainability of public finances and its determinants for 19 Eurozone countries from 1995 to 2020. We conclude for the existence of panel cointegration between government revenues and expenditures; primary government balance and one-period lagged public debt-to-GDP ratio; and...
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This paper investigates the role of unconventional monetary policy as a source of time-variation in the relationship between sovereign bond yield spreads and their fundamental determinants. Our results provide evidence of a new bond-pricing regime following the announcement of the Outright...
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bond markets in the euro area over the period January 1999 to July 2016. Second, we estimate the impact of ECB policy …
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Since the beginning of the sovereign debt crisis in the Euro Area, a main concern for European leaders is the …
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