Determinants of Credit Default Swaps Implied Ratings During the Crisis: Was Sovereign Risk Mispriced?
Skúmanie, či cenová politika týkajúca sa rizík štátnych dlhopisov bola spojená s makroekonomickými ukazovateľmi počas rokov 2007 až 2015 na vzorke krajín OECD. Autori tvrdia, že konfliktné dôkazy v literatúre sú kvôli nepostačujúcim možnostiam metodiky.
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| Language: | English |
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