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European perspective on the links among public investments, banking and sovereign risk
Evžen Kočenda
Evžen Kočenda
Affiliation: Institute of Economic Studies, Charles University, Faculty of Social Sciences, Prague, Czech Republic; Department of Econometrics, Institute of Information Theory and Automation, Prague, Czech Republic; Center for Economic Studies, Leibniz Institute for Economic Research at the University of Munich, Munich, Germany; Leibniz-Institute for East and Southeast European Studies, Regensburg, Germany
0000-0003-4110-1169
Correspondence
evzen.kocenda@fsv.cuni.cz
Conference keynote | Year: 2018 | Pages: 105 - 109 | Volume: 42 | Issue: 2 Received: January 16, 2018 | Accepted: January 18, 2018 | Published online: June 5, 2018
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FULL ARTICLE
FIGURES & DATA
REFERENCES
CROSSMARK POLICY
METRICS
LICENCING
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Brůha, J. and Kočenda, E., 2018. Financial stability in Europe: Banking and sovereign risk. Journal of Financial Stability (forthcoming) [ CrossRef]
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Poghosyan, T., 2014. Long-run and short-run determinants of sovereign bond yields in advanced economies. Economic Systems, 38(1), pp. 100–114 [ CrossRef]
Wooldridge, J., 2002. Econometric Analysis of Cross Section and Panel Data. Cambridge, MA: The MIT Press.
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June, 2018 II/2018 |