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The Liquidation of Government Debt. (2011). Reinhart, Carmen ; Sbrancia, Belen M. ; Carmen M., .
In: Working Paper Series.
RePEc:iie:wpaper:wp11-10.

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  1. Democratic institutions and regulatory privileges for government debt. (2023). Pond, Amy ; Betz, Timm.
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  2. The effects of high inflation on public finances in the euro area. (2023). Checherita Westphal, Cristina ; Bakowski, Krzysztof ; Muggenthaler, Philip ; Jesionek, Julia ; Checherita-Westphal, Cristina.
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  4. Inflation ist kein wirksames Heilmittel gegen eine hohe Staatsschuldenquote. (2022). Matthes, Jurgen ; Gromling, Michael.
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  6. The Effects of Government Bonds on Liquidity Risk and Bank Profitability in Cape Verde. (2021). Vieira, Carlos ; Ferreira, Paulo ; Teixeira, Jose Carlos.
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  7. Fiscal financing components in a simple model of policy interaction. (2021). Das, Piyali.
    In: Economic Modelling.
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  8. An Empirical Study of DeFi Liquidations: Incentives, Risks, and Instabilities. (2021). Gamito, Pablo ; Zhou, Liyi ; Qin, Kaihua ; Gervais, Arthur ; Jovanovic, Philipp.
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  12. Foreign debt, global liquidity, and fiscal sustainability. (2020). Sung, Taeyoon ; Park, Danbee.
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    RePEc:eee:japwor:v:54:y:2020:i:c:s0922142519300611.

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  13. Defaultnomics: Making Sense of the Barro-Ricardo Equivalence in a Financialized World. (2019). Mastromatteo, Giuseppe ; Esposito, Lorenzo.
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  14. Approaches on the Vulnerability of Romanias Economy in Terms of Budget Deficit and Inflation in a Continuous Form. (2019). Ionescu, Romeo Victor ; Antohi, Valentin Marian ; Zlati, Monica Laura.
    In: Risk in Contemporary Economy.
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  15. How does democracy affect public debt? Evidence from the Arab world. (2018). Gabsi, Foued Badr ; Benayed, Walid ; Bougharriou, Nouha.
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  16. Bringing the helicopter to ground: a historical review of fiscal-monetary coordination to support economic growth in the 20th century. (2018). van Lerven, Frank ; Ryan-Collins, Josh.
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  17. Credit and money creation from the integrated accounts perspective. (2018). Ramanauskas, Tomas ; Rutkauskas, Virgilijus ; Matkenaite, Skirmante.
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  18. Monetary facts revisited. (2018). Hofmann, Boris ; Gertler, Pavel.
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  19. IMPLICATIONS OF FISCAL STIMULI IN MACROECONOMIC PLANE AT THE LEVEL OF SOME DEVELOPED AND EMERGING COUNTRIES. (2018). Gabriela, Dobrota ; Daniela, Voda Alina.
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  20. Capital Inflows, Sovereign Debt and Bank Lending: Micro-Evidence from an Emerging Market. (2017). Williams, Tomas.
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  21. Hamilton’s Paradox Revisited: Alternative lessons from US history. (2017). , Waltraudschelkle ; Schelkle, Waltraud.
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  22. The effect of the behavior of an average consumer on the public debt dynamics. (2017). de Luca, Roberto ; Naddeo, Adele ; Falzarano, Angelo ; di Mauro, Marco .
    In: Physica A: Statistical Mechanics and its Applications.
    RePEc:eee:phsmap:v:482:y:2017:i:c:p:357-361.

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  23. THE DEADLY EMBRACE BETWEEN THE BANKS AND THE STATE IN SPAIN, 1850-2015. (2017). Comin, Francisco ; Cuevas, Joaquim.
    In: Revista de Historia Económica.
    RePEc:cup:reveco:v:35:y:2017:i:03:p:387-414_00.

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  24. Credit controls as an escape from the trilemma. The Bretton Woods experience.. (2017). Monnet, Eric.
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  25. Financial Repression in the European Sovereign Debt Crisis. (2017). Becker, Bo ; Ivashina, Victoria.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:12185.

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  26. Central Bank Policies and the Debt Trap. (2017). Orphanides, Athanasios.
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:11834.

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  27. Preserving Government Solvency: A Global Policy Perspective. (2017). Rieck, Andrea ; Schuknecht, Ludger.
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    RePEc:ces:ifodic:v:14:y:2017:i:4:p:71-81.

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  28. Preserving Government Solvency: A Global Policy Perspective. (2017). Schuknecht, Ludger ; Rieck, Andrea .
    In: ifo DICE Report.
    RePEc:ces:ifodic:v:14:y:2017:i:4:p:19267794.

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  29. Preserving Government Solvency: A Global Policy Perspective. (2017). Schuknecht, Ludger ; Rieck, Andrea.
    In: ifo DICE Report.
    RePEc:ces:ifodic:v:14:y:2017:i:04:p:71-81.

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  30. Nonlinear Analysis of Economic Growth, Public Debt and Policy Tools. (2017). Cai, Yifei.
    In: Asian Economic and Financial Review.
    RePEc:asi:aeafrj:2017:p:99-108.

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  31. Financial regulation and government revenue : the effects of a policy change in Ethiopia. (2016). Limodio, Nicola ; Strobbe, Francesco.
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    RePEc:wbk:wbrwps:7733.

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  32. 经济增长与政府债务的非线性研究及其政策治理. (2016). Cai, Yifei.
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  33. Fiscal Risk and the Portfolio of Government Programs. (2016). Scharfstein, David ; Hanson, Samuel ; Sunderam, Adi.
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    RePEc:nbr:nberwo:22763.

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  34. A Stochastic Indicator for Sovereign Debt Sustainability. (2016). Rojas-Romagosa, Hugo ; Lukkezen, Jasper .
    In: FinanzArchiv: Public Finance Analysis.
    RePEc:mhr:finarc:urn:sici:0015-2218(201609)72:3_229:asifsd_2.0.tx_2-q.

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  35. Kinyílnak-e az őszirózsák?. Kitekintés a válság utáni monetáris politikára. (2016). Tarafas, Imre.
    In: Közgazdasági Szemle (Economic Review - monthly of the Hungarian Academy of Sciences).
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  36. Government debt maturity and debt dynamics in euro area countries. (2016). Equiza-Goi, Juan .
    In: Journal of Macroeconomics.
    RePEc:eee:jmacro:v:49:y:2016:i:c:p:292-311.

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  37. An endeavor to estimate seigniorage before the end of and immediately after the Pacific War. (2016). Oguro, Kazumasa ; Hattori, Takahiro.
    In: Journal of the Japanese and International Economies.
    RePEc:eee:jjieco:v:41:y:2016:i:c:p:1-16.

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  38. International reserves and gross capital flows dynamics. (2016). Serena Garralda, Jose Maria ; Erce, Aitor ; Alberola, Enrique.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:60:y:2016:i:c:p:151-171.

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  39. Monetary analysis and the global financial cycle: An Asian central bank perspective. (2016). Hofmann, Boris ; Genberg, Hans ; Filardo, Andrew.
    In: Journal of Asian Economics.
    RePEc:eee:asieco:v:46:y:2016:i:c:p:1-16.

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  40. Monetary facts revisited. (2016). Hofmann, Boris ; Gertler, Pavel.
    In: BIS Working Papers.
    RePEc:bis:biswps:566.

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  41. Financial Cycles and Fiscal Cycles. (2015). Bénétrix, Agustín ; Benetrix, Agustin S ; Lane, Philip R.
    In: Trinity Economics Papers.
    RePEc:tcd:tcduee:tep0815.

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  42. Catalytic IMF? A gross flows approach. (2015). Riera-Crichton, Daniel ; Erce, Aitor.
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  43. SMEs Role in Achieving Sustainable Development. (2015). Bucea-Manea-Tonis, Rocsana.
    In: Journal of Economic Development, Environment and People.
    RePEc:sph:rjedep:v:4:y:2015:i:1:p:41-50.

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  44. Financial Repression and Bond Market Efficiency: the Case of Italy during World War II. (2015). OOSTERLINCK, Kim.
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  45. Financial and Sovereign Debt Crises: Some Lessons Learned and Those Forgotten. (2015). Rogoff, Kenneth ; Reinhart, Carmen.
    In: Journal of Banking and Financial Economics.
    RePEc:sgm:jbfeuw:v:2:y:2015:i:4:p:5-17.

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  46. Nonmarket Debt Placement As Financial Repression. (2015). Pekarski, Sergey ; Norkina, Olga.
    In: Journal of the New Economic Association.
    RePEc:nea:journl:y:2015:i:28:p:31-55.

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  47. The Liquidation of Government Debt. (2015). Reinhart, Carmen ; Sbrancia, Belen M.
    In: IMF Working Papers.
    RePEc:imf:imfwpa:2015/007.

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  48. Understanding Bitcoins: Facts and Questions. (2015). de Albuquerque, Bruno Saboia ; de Castro, Marcelo .
    In: Revista Brasileira de Economia - RBE.
    RePEc:fgv:epgrbe:v:69:y:2015:i:1:a:33090.

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  49. Can re-regulation of the financial sector strike back public debt?. (2015). Sousa, Ricardo ; Agnello, Luca.
    In: Economic Modelling.
    RePEc:eee:ecmode:v:51:y:2015:i:c:p:159-171.

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  50. Bancos centrales “periféricos”: el caso de América Latina. (2015). Torija-Zane, Edgardo .
    In: Libros de la CEPAL.
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  51. Wie teuer ist die Niedrigzinspolitik der EZB für Deutschland?. (2015). Rosl, Gerhard ; Todter, Karl-Heinz .
    In: ifo Schnelldienst.
    RePEc:ces:ifosdt:v:68:y:2015:i:07:p:43-50.

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  52. International reserves and gross capital flow dynamics. (2015). Serena Garralda, Jose Maria ; Erce, Aitor ; Alberola-Ila, Enrique .
    In: BIS Working Papers.
    RePEc:bis:biswps:512.

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  53. The Costs and Welfare Effects of ECBs Financial Repression Policy: Consequences for German Savers. (2015). Rsl, Gerhard ; Tdter, Karl-Heinz .
    In: Review of Economics & Finance.
    RePEc:bap:journl:150403.

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  54. What Drives Inequality?. (2015). Wisman, Jon.
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  55. Implications Of The Eurozone Crisis For Monetary Unions In Sub-Saharan Africa. (2015). Mullineux, Andy .
    In: The African Finance Journal.
    RePEc:afj:journl:v:17:y:2015:i:1:p:21-40.

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  56. Does austerity pay off?. (2014). Pfeifer, Johannes ; Müller, Gernot ; Born, Benjamin ; Muller, Gernot J..
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  57. IS CORRELATION PUZZLE REALLY PUZZLING? REASSESSING MOTIVES OF FOREIGN ASSET HOLDINGS BY US INVESTORS. (2014). Inoue, Kenta .
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  59. Romania’s external debt threats. (2014). Zaman, Gheorghe ; Georgescu, George.
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  60. Factori de creştere a sustenabilităţii datoriei publice. (2014). Georgescu, George.
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  61. A Vector Error Correction Model for the Relationship between Public Debt and Inflation in Germany. (2014). Mehnert, Alexander ; Strohe, Hans Gerhard ; Nastansky, Andreas .
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    RePEc:pot:statdp:51.

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  62. The Prudential Regulation of Financial Institutions: Why Regulatory Responses to the Crisis Might Not Prove Sufficient. (2014). White, William R..
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  63. Introduction: Rethinking Macro Policy II--Getting Granular. (2014). Dell'Ariccia, Giovanni ; Mauro, Paolo ; Blanchard, Olivier.
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  64. The Development of Local Capital Markets; Rationale and Challenges. (2014). Laeven, Luc.
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  65. Sovereign Debt Composition in Advanced Economies; A Historical Perspective. (2014). Hu, Malin ; Elganainy, Asmaa A ; de Broeck, Mark ; Blattner, Laura ; Ali, S M.
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  66. Banks, Government Bonds, and Default; What do the Data Say?. (2014). Rossi, Stefano ; Martin, Alberto ; Gennaioli, Nicola.
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  67. Inflation and Public Debt Reversals in the G7 Countries. (2014). Binder, Ariel J ; Komatsuzaki, Takuji ; Akitoby, Bernardin.
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  68. Zero-Interest Rate Policy and Unintended Consequences in Emerging Markets. (2014). Hoffmann, Andreas.
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  69. Optimal Financial Repression. (2014). Pekarski, Sergey ; Norkina, Olga.
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  70. Increase in home bias in the Eurozone debt crisis: the role of domestic shocks. (2014). Cornand, Camille ; Gandre, Pauline ; Gimet, Celine.
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  71. Sovereign Wealth and Risk Management: A Framework for Optimal Asset Allocation of Sovereign Wealth. (2014). Bodie, Zvi ; Briere, Marie.
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  72. Increase in home bias in the Eurozone debt crisis: the role of domestic shocks. (2014). Cornand, Camille ; Gandre, Pauline ; Gimet, Celine.
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  74. Sovereign Debt Maturity and Debt-to GDP Dynamics in Six Euro Area Countries. (2014). Equiza-Goñi, Juan ; Goni, Juan Equiza .
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  75. Financial repression: what does it mean for savers and investors?. (2014). Shelley, Paul ; Boardman, Richard ; Fulcher, Paul ; Collier, Ian ; Gasser, Hans-Christof ; Price, Rod ; Softley, Sarah .
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    In: Earth Endogenous System: To Answer the Current Unsolved Economic Problems (Second Edition).
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  82. External imbalances and macroeconomic policy. (2013). Lane, Philip.
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  88. Goodbye Inflation Targeting, Hello Fear of Floating? Latin America after the Global Financial Crisis*. (2013). Reinhart, Carmen.
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  90. Crowding Out Redefined: The Role of Reserve Accumulation. (2013). Reinhart, Carmen ; Tashiro, Takeshi .
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  91. VOLATILITY OF INTERNATIONAL FINANCIAL MARKETS AND PUBLIC DEBT SUSTAINABILITY. (2013). Georgescu, George.
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  92. Financial and Sovereign Debt Crises; Some Lessons Learned and Those Forgotten. (2013). Rogoff, Kenneth ; Reinhart, Carmen.
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  93. Rethinking Macro Policy II; Getting Granular. (2013). Dell'Ariccia, Giovanni ; Mauro, Paolo ; Blanchard, Olivier J..
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  94. La transition financière chinoise : un contre-exemple de la libéralisation financière. (2013). Zou, Zhaomin .
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  95. Home bias and self-fulfilling sovereign debt crisis. (2013). Cornand, Camille ; Gandre, Pauline.
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  96. Crowding out redefined: the role of reserve accumulation. (2013). Reinhart, Carmen ; Tashiro, Takeshi .
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  97. Financial and Fiscal Stability beyond the Crisis Years - Two Paradigm Shifts and Their Consequences. (2013). Blessing, Martin .
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  99. Did the Fed and ECB react asymmetrically with respect to asset market developments?. (2013). Hoffmann, Andreas.
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