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maturity management, as will typically be required to address rollover crisis risk, will be delayed until the end of the …
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The aim of this paper is to study the determinants of sovereign debt maturity for 23 European countries during the … between the level of debt of the country and sovereign debt maturity, particularly for countries with the lowest debt maturity …. We also find evidence of a negative relationship between sovereign risk and debt maturity for the lowest and intermediate …
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I develop a dynamic capital structure model in which shareholders determine a firm's leverage ratio, debt maturity, and … all the firm's cash flows and can pick a new capital structure. The possibility to alter the capital structure at maturity … gives shareholders the incentive to issue finite maturity debt and allows me to study firms' joint choice of leverage and …
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