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Using bank-specific data on U.S. bank claims on individual foreign countries since the mid-1980s, this paper 1 …) characterizes the size and portfolio diversification patterns of the U.S. banks engaging in foreign lending, and 2) econometrically …
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An examination of the costs and benefits of LDC external debt default, with a discussion of the implications for the …
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This paper explores the extent to which the Mexican government's inability to roll over its debt during December 1994 and January 1995 can be modeled as a self-fulfilling debt crisis. In the model there is a crucial interval of debt for which the government, although it finds it optimal to repay...
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A standard explanation for why sovereign governments repay their debts is that they must maintain a good reputation to …
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