1
2
Assuntos:
“...Sovereign debt...”
Does rollover risk matter in quantitative sovereign default models?
Dissertação
3
“...This thesis studies novel elements that can affect sovereign debt and default decisions, taking...”
Essays on sovereign debt crisis
Tese
4
Assuntos:
“...Debt crisis...”
Overreaction to the 2015 Greek debt crisis: a study on FTSE, CAC & DAX
Dissertação
5
Assuntos:
“...Implied risk-neutral mean loss rate...”
Implied hazard rates analysis through Brazilian corporate debt
Dissertação
6
“...Our main goal in this paper was to measure how efficient is risk sharing between countries...”
The asymmetric behavior of the U.S public debt
Dissertação
7
Assuntos:
“...[en] RISK MANAGEMENT...”
[pt] GERENCIAMENTO E INSUSTENTABILIDADE DA DÍVIDA PÚBLICA NO BRASIL
Tese
8
9
10
Assuntos:
“...Determinants of debt...”
Determinantes do endividamento e risco financeiro no Brasil
Dissertação
11
Assuntos:
“...Debt policy...”
Identifying and evaluating the political determinants of subnational debt
Dissertação
12
Assuntos:
“...Architetural tecnical debt...”
Technical debt in reference architectures: definition, conceptual model, and identification guidelines
Tese
13
“... goal is to explore the connection between risk sharing and duration of debt instruments used...”
Essays on credit, durable goods and public debt in an incomplete market framework
Tese
14
“... attributable risk percentage. Results: The corrections of subrecords gave a total of 51,307 deaths for all...”
Mortalidad adulta atribuible a la demencia debido a la enfermedad de alzheimer, Brasil 2009 2013: una perspectiva Bayesiana
Tese
15
Assuntos:
“...Public debt...”
Risco país e efeitos não-lineares da política fiscal na América Latina
Dissertação
16
Assuntos:
“...Risk debt...”
Decisões de endividamento e risco financeiro nas companhias brasileiras do agronegócio listadas na BOVESPA
Tese
17
Assuntos:
“...External debt...”
Três estudos econométricos sobre o papel das reservas internacionais brasileiras
Tese
18
Assuntos:
“...Tail risk...”
Nonparametric tail risk, macroeconomics and stock returns: predictability and risk premia
Dissertação