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Sovereign Risk Premia in the European Bond Market. (2004). von Hagen, Juergen ; Schuknecht, Ludger ; Bernoth, Kerstin.
In: CEPR Discussion Papers.
RePEc:cpr:ceprdp:4465.

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  5. Financial markets and fiscal discipline in the Eurozone. (2021). Canale, Rosaria Rita ; Spagnolo, Nicola ; de Simone, Elina.
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  6. Not all government budget deficits are created equal: Evidence from advanced economies sovereign bond markets. (2021). Peppel-Srebrny, Jemima.
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  7. Economic volatility and sovereign yields’ determinants: a time-varying approach. (2020). Jalles, Joao ; Afonso, Antonio.
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  8. Factor-based investing in government bond markets: a survey of the current state of research. (2020). Schiereck, Dirk ; Hachenberg, Britta ; Bekti, Demir.
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  9. Quantifying Risks to Sovereign Market Access: Methods and Challenges. (2020). Zigraiova, Diana ; Erce, Aitor ; Jiang, XU.
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  10. The role of IMF conditionality for central bank independence. (2020). Kern, Andreas ; Reinsberg, Bernhard ; Rau-Goehring, Matthias .
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  11. Measuring Redenomination Risks in the Euro Area - New Evidence from Survey Data. (2019). Klose, Jens.
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  12. Public Interest Payments and Bond Yields: A Panel Data Estimation for the Eurozone. (2019). Afflatet, Nicolas.
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  14. Sovereign bond yield spreads and sustainability: An empirical analysis of OECD countries. (2019). CAPELLE-BLANCARD, Gunther ; Scholtens, Bert ; Oueghlissi, Rim ; Diaye, Marc-Arthur ; Crifo, Patricia.
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  18. Environmental, Social and Governance (ESG) performance and sovereign bond spreads: an empirical analysis of OECD countries. (2017). Scholtens, Bert ; Crifo, Patricia ; CAPELLE-BLANCARD, Gunther ; Oueghlissi, Rim ; Diaye, Marc-Arthur.
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  19. External Public Debt, Trade Linkages and Contagion During the Eurozone Crisis. (2017). Cutrini, Eleonora ; Galeazzi, Giorgio .
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  20. Environmental, Social and Governance (ESG) performance and sovereign bond spreads: an empirical analysis of OECD countries. (2016). Scholtens, Bert ; Crifo, Patricia ; CAPELLE-BLANCARD, Gunther ; Oueghlissi, Rim ; Diaye, Marc-Arthur.
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  21. Dynamic Laffer curves, population growth and public debt overhangs. (2016). Tsuchiya, Yoichi.
    In: International Review of Economics & Finance.
    RePEc:eee:reveco:v:41:y:2016:i:c:p:40-52.

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  22. The Impact of Government Debt, Expenditure and Taxes on Aggregate Investment and Productivity Growth. (2016). Trecroci, Carmine ; Salotti, Simone.
    In: Economica.
    RePEc:bla:econom:v:83:y:2016:i:330:p:356-384.

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  23. Has the Grexit news spilled over into euro area financial markets? The role of domestic political leaders, supranational executives and institutions. (2016). Sacchi, Agnese ; Gregori, Wildmer Daniel.
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  24. Will the Bail-in Break the Vicious Circle Between Banks and their Sovereign?. (2015). Zedda, Stefano ; Galliani, Clara .
    In: Computational Economics.
    RePEc:kap:compec:v:45:y:2015:i:4:p:597-614.

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  25. Contagion effects during financial crisis: Evidence from the Greek sovereign bonds market. (2015). pragidis, ioannis ; Chionis, Dionysios ; Schizas, P. ; Aielli, G. P..
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  26. On the time-varying relationship between EMU sovereign spreads and their determinants. (2015). Kontonikas, Alexandros ; Arghyrou, Michael ; Afonso, Antonio ; Bagdatoglou, George .
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  27. The Price of Euro: Evidence from Sovereign Debt Markets. (2014). Makela, Erik .
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  28. Integration of Central and Eastern European and the Euro-Area Financial Markets: Repercussions from the Global Financial Crisis. (2014). Orlowski, Lucjan ; Tsibulina, Anna .
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  30. On the distribution of government bond returns: evidence from the EMU. (2014). Lau, Christian ; Gabriel, Christian .
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  35. A Modern Money Perspective on Financial Crowding-out. (2013). Sharpe, Timothy.
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    RePEc:taf:revpoe:v:25:y:2013:i:4:p:586-606.

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  36. Scotland’s Currency Options. (2013). Ebell, Monique ; Armstrong, Angus.
    In: National Institute of Economic and Social Research (NIESR) Discussion Papers.
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  37. Government Debt Denomination Policies Before and After the EMU Advent. (2013). Joliet, Robert ; Hübner, Georges ; Hubner, Georges.
    In: Open Economies Review.
    RePEc:kap:openec:v:24:y:2013:i:2:p:283-309.

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  38. Government bond yield spreads determination: a matter of fundamentals or market overreaction? Evidence from over-borrowed European countries. (2013). Seremetis, Dimitris ; Pappas, Anastasios ; Dimitris Vas. Seremetis, .
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  39. Vertical debt spillovers in EMU countries. (2013). Van Hecke, Annelore .
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:37:y:2013:i:c:p:468-492.

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  40. Bank/sovereign risk spillovers in the European debt crisis. (2013). Vander Vennet, Rudi ; Schepens, Glenn ; de Bruyckere, Valerie ; Gerhardt, Maria .
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    RePEc:eee:jbfina:v:37:y:2013:i:12:p:4793-4809.

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  41. Heterogeneity of the determinants of euro-area sovereign bond spreads; what does it tell us about financial stability?. (2013). Migiakis, Petros ; Georgoutsos, Dimitris.
    In: Journal of Banking & Finance.
    RePEc:eee:jbfina:v:37:y:2013:i:11:p:4650-4664.

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  42. Scotland’s Currency Options. (2013). Ebell, Monique ; Armstrong, Angus.
    In: Discussion Papers.
    RePEc:cfm:wpaper:1302.

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  43. Bank/sovereign risk spillovers in the European debt crisis. (2012). Vander Vennet, Rudi ; Schepens, Glenn ; DE BRUYCKERE, V. ; GERHARDT, M..
    In: Working Papers of Faculty of Economics and Business Administration, Ghent University, Belgium.
    RePEc:rug:rugwps:12/828.

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  44. Sovereign default Risk in the Euro-Periphery and the Euro-Candidate Countries. (2012). Pusch, Toralf ; Orlowski, Lucjan ; Gabrisch, Hubert.
    In: MPRA Paper.
    RePEc:pra:mprapa:41265.

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  45. Bank/sovereign risk spillovers in the European debt crisis. (2012). Vander Vennet, Rudi ; Schepens, Glenn ; Gerhardt, Maria ; de Bruyckere, Valerie .
    In: Working Paper Research.
    RePEc:nbb:reswpp:201210-232.

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  46. Determinants of government bond spreads in the euro area: in good times as in bad. (2012). Boysen-Hogrefe, Jens ; Aßmann, Christian ; Amann, Christian .
    In: Empirica.
    RePEc:kap:empiri:v:39:y:2012:i:3:p:341-356.

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  47. Default Risk on Government Bonds, Deflation, and Inflation. (2012). Oguro, Kazumasa ; Sato, Motohiro.
    In: CIS Discussion paper series.
    RePEc:hit:cisdps:537.

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  48. Fiscal Multipliers and Public Debt Dynamics in Consolidations. (2012). Salto, Matteo ; de Castro Fernández, Francisco ; Boussard, Jocelyn.
    In: European Economy - Economic Papers 2008 - 2015.
    RePEc:euf:ecopap:0460.

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  49. Even worse than you thought: The effects of government debt on investment and productivity. (2012). Trecroci, Carmine ; Salotti, Simone.
    In: EcoMod2012.
    RePEc:ekd:002672:4200.

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  50. The EMU sovereign-debt crisis: Fundamentals, expectations and contagion. (2012). Kontonikas, Alexandros ; Arghyrou, Michael.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:22:y:2012:i:4:p:658-677.

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  51. The determinants of sovereign credit spread changes in the Euro-zone. (2012). Nunes, Joo Pedro ; Oliveira, Lus ; Curto, Jos Dias .
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:22:y:2012:i:2:p:278-304.

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  52. The time-varying integration of euro area government bond markets. (2012). Wolswijk, Guido ; Pozzi, Lorenzo.
    In: European Economic Review.
    RePEc:eee:eecrev:v:56:y:2012:i:1:p:36-53.

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  53. Even Worse than You thought: The Impact of Public Debt on Aggregate Investment and Productivity. (2012). Trecroci, Carmine ; Salotti, Simone.
    In: DEGIT Conference Papers.
    RePEc:deg:conpap:c017_020.

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  54. Heterogeneity of the determinants of euro-area sovereign bond spreads; what does it tell us about financial stability?. (2012). Migiakis, Petros ; Georgoutsos, Dimitris.
    In: Working Papers.
    RePEc:bog:wpaper:143.

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  55. Government bond market integration and the EMU: Correlation based evidence. (2012). Missio, Sebastian .
    In: Working Papers.
    RePEc:bav:wpaper:125_missio.

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  56. Fiscal variables and bond spreads - evidence from Eastern European countries and Turkey. (2011). Rother, Philipp ; Nickel, Christiane ; Ruelke, Jan-Christoph .
    In: Applied Financial Economics.
    RePEc:taf:apfiec:v:21:y:2011:i:17:p:1291-1307.

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  57. The euro areas common default risk: Evidence on the Commissions impact on European fiscal affairs. (2011). Fahrholz, Christian.
    In: European Union Politics.
    RePEc:sae:eeupol:v:12:y:2011:i:4:p:507-528.

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  58. Fiscal shocks, public debt, and long-term interest rate dynamics. (2011). Salotti, Simone ; Paesani, Paolo ; Marattin, Luigi.
    In: Working Papers.
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  59. Public Debt Accumulation and Fiscal Consolidation. (2011). Oguro, Kazumasa ; Sato, Motohiro.
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    RePEc:hit:cisdps:517.

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  60. Expected fiscal policy and interest rates in open economy. (2011). Sola, Sergio ; Dell'Erba, Salvatore ; Salvatore Dell’Erba, Sergio Sola, .
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  61. Could the Stability and Growth Pact be Substituted by the Financial Markets?. (2011). Lokajíčková (Výprachtická), Terezie ; Vyprachticka, Terezie .
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  62. The Real Estate Conundrum in the CEE Office Markets: Thinking Too Big?. (2011). Frederic, LAURIN.
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  63. The Janus-headed salvation: Sovereign and bank credit risk premia during 2008-2009. (2011). Lemke, Wolfgang ; Ejsing, Jacob .
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  64. Rules and risk in the euro area. (2011). Wolff, Guntram ; Iara, Anna.
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  65. The Real Estate Conundrum in the CEE Office Markets: Thinking Too Big?. (2010). Laurin, Frederic ; Goginashvili, Thea ; D'Argensio, John-John .
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  66. Long-term government bond yields and economic forecasts: evidence for the EU. (2010). Afonso, Antonio.
    In: Applied Economics Letters.
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  67. The Euro After Its First Decade: Weathering the Financial Storm and Enlarging the Euro Area. (2010). Regling, Klaus ; Deroose, Servaas ; Felke, Reinhard ; Kutos, Paul .
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  68. From Home Bias to Euro Bias: Disentangling the Effects of Monetary Union on the European Financial Markets. (2010). Balli, Hatice ; Basher, Syed ; Ozer-Balli, Hatice .
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  69. Fiscal Policy and Interest Rates: The Role of Sovereign Default Risk. (2010). Laubach, Thomas .
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  70. Sovereign Spreads; Global Risk Aversion, Contagion or Fundamentals?. (2010). Caceres, Carlos ; Guzzo, Vincenzo ; Segoviano, Miguel A.
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  71. The Euro-dividend: public debt and interest rates in the Monetary Union. (2010). Salotti, Simone ; Marattin, Luigi.
    In: Working Papers - Mathematical Economics.
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  72. From home bias to Euro bias: Disentangling the effects of monetary union on the European financial markets. (2010). Balli, Hatice ; Basher, Syed ; Ozer-Balli, Hatice .
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    RePEc:eee:jebusi:v:62:y::i:5:p:347-366.

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  73. The role of domestic fundamentals on the economic vulnerability of emerging markets. (2010). Moreira, Ajax ; Rocha, Katia .
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  74. The EMU sovereign-debt crisis: Fundamentals, expectations and contagion. (2010). Kontonikas, Alexandros ; Arghyrou, Michael.
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  75. Euro area fiscal policies and the crisis. (2010). van Riet, AD.
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  76. The Euro After Its First Decade : Weathering the Financial Storm and Enlarging the Euro Area. (2010). Kutos, and Paul ; Deroose, Servaas ; Felke, Reinhard ; Regling, Klaus .
    In: Governance Working Papers.
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  77. Banking and Sovereign Risk in the Euro Area. (2010). Wolff, Guntram ; Gerlach, Stefan ; Schulz, Alexander.
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  78. The Euro-dividend: public debt and interest rates in the Monetary Union. (2010). Salotti, Simone ; Marattin, Luigi.
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  79. Determinants of government bond spreads in the Euro Area: in good times as in bad. (2009). Boysen-Hogrefe, Jens ; Assmann, Christian .
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  80. Default Risk Premia on Government Bonds in a Quantitative Macroeconomic Model. (2009). Schabert, Andreas ; Juessen, Falko ; Linnemann, Ludger .
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  81. Have Euro Area Government Bond Risk Premia Converged To Their Common State?. (2009). Wolswijk, Guido ; Pozzi, Lorenzo.
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  82. The German Sub-national Government Bond Market: Structure, Determinants of Yield Spreads and Berlin’s Forgone Bail-out. (2009). Wolff, Guntram ; Schulz, Alexander.
    In: Journal of Economics and Statistics (Jahrbuecher fuer Nationaloekonomie und Statistik).
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  83. O Impacto da Política Fiscal nos Spreads Soberanos: A Austeridade Fiscal e a Qualidade do Ajuste. (2009). Moreira, Ajax ; Rocha, Katia .
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  84. Euro Area Sovereign Risk During the Crisis. (2009). Sgherri, Silvia ; Zoli, Edda.
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  85. Determinants of intra-euro area government bond spreads during the financial crisis. (2009). Setzer, Ralph ; Barrios, Salvador ; Lewandowska, Magdalena ; Iversen, Per .
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  86. Financial markets behavior around episodes of large changes in the fiscal stance. (2009). Ardagna, Silvia .
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  87. What explains the surge in euro area sovereign spreads during the financial crisis of 2007-09?. (2009). Nickel, Christiane ; Checherita Westphal, Cristina ; Attinasi, Maria-Grazia .
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  88. The Janus-headed salvation: sovereign and bank credit risk premia during 2008-09. (2009). Lemke, Wolfgang ; Ejsing, Jacob W..
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    RePEc:ecb:ecbwps:20091127.

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  89. Government Bond Risk Premiums in the EU revisited: The Impact of the Financial Crisis. (2009). Wolswijk, Guido ; von Hagen, Juergen ; Schuknecht, Ludger.
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  90. Current Account Imbalances and Financial Integration in the Euro Area. (2009). von Hagen, Juergen ; Schmitz, Birgit .
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  91. International Portfolio Inflows to GCC Markets: Are There Any General Patterns?. (2009). Balli, Faruk ; Louis, Rosmy J. ; Osman, Mohamed A..
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  92. Fiscal Discipline as a Social Norm: The European Stability Pact. (2008). Saraceno, Francesco ; Fitoussi, Jean-Paul.
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  127. How the Eurosystem’s Treatment of Collateral in its Open Market Operations Weakens Fiscal Discipline in the Eurozone (and what to do about it). (2005). Sibert, Anne ; Buiter, Willem.
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  129. Monetary Integration and the Cost of Borrowing. (2005). Gómez-Puig, Marta ; Gomez-Puig, Marta.
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  130. On Prosperity and Posterity: The Need for Fiscal Discipline in a Monetary Union. (2005). Detken, Carsten ; Winkler, Bernhard ; Gaspar, Vitor.
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  131. THE IMPACT OF MONETARY UNION ON EU-15 SOVEREIGN DEBT YIELD SPREADS. (2005). Gómez-Puig, Marta ; Gomez-Puig, Marta.
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  133. The fiscal stability impact of monetary unions - looking beneath the Stability Pact debate. (2004). Paulus, Philipp .
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