, International Financial Markets, Institutions and Money, vol.19, pp.222-239
Does corruption increase emerging market bond spreads?, Journal of Economics and Business, vol.55, pp.503-528, 2003. ,
DOI : 10.1016/s0148-6195(03)00052-3
Fiscal stimulus with spending reversals, Review of Economics and Statistics, vol.94, pp.878-895, 2012. ,
Determinants of sovereign bond yield spreads in the EMU: An optimal currency area perspective, European Economic Review, vol.70, pp.337-349, 2014. ,
Sovereign spreads in emerging economies: do natural resources matter?, 2016. ,
The composition of public expenditure and economic growth, Journal of monetary economics, vol.37, pp.313-344, 1996. ,
That Squeezing Feeling: The Interest Burden and Public Debt Stabilization International Finance, vol.19, pp.147-178, 2016. ,
DOI : 10.1111/infi.12090
Fiscal policy and economic growth, Journal of monetary economics, vol.32, pp.417-458, 1993. ,
The international transmission of interest rate shocks: The Federal Reserve and emerging markets in Latin America and Asia, Journal of International Money and Finance, vol.29, pp.685-703, 2010. ,
LDC Foreign Borrowing and Default Risk: An Empirical Investigation, 1976-80, The American Economic Review, vol.74, pp.726-734, 1984. ,
What explains changing spreads on emerging-market debt: fundamentals or market sentiment?, 1998. ,
The political determinants of sovereign bond yield spreads, Journal of International Money and Finance, vol.46, pp.82-103, 2014. ,
Is government capital productive? Evidence from a panel of seven countries, Journal of Macroeconomics, vol.16, pp.271-279, 1994. ,
The External Financing of Emerging Market Countries: Evidence From Two Waves of Financial Globalization. IMF Working Papers 06, vol.1, 2006. ,
The case for restricting fiscal policy discretion, The Quarterly Journal of Economics, vol.118, pp.1419-1447, 2003. ,
Empirical determinants of emerging market economies' sovereign bond spreads: Working Paper no. 205. Bank of England, Quarterly Bulletin, vol.43, p.457, 2003. ,
Infrastructures et productivité du secteur privé. Revue économique, vol.17, pp.69-95, 1991. ,
Inflation targeting and country risk: an empirical investigation, 2013. ,
Emerging Countries Sovereign Risk: Balance Sheets, Contagion and Risk Aversion, 2005. ,
The contribution of publicly provided inputs to states' economies. Regional science and urban economics, vol.22, pp.229-241, 1992. ,
Sovereign borrowing by developing countries: What determines market access, Journal of International Economics, vol.83, pp.243-254, 2011. ,
Searching for non-linear effects of fiscal policy: evidence from industrial and developing countries, European Economic Review, vol.44, pp.1259-1289, 2000. ,
Does Transparency Pay?, IMF Staff Papers, vol.55, pp.183-209, 2008. ,
, OECD Glossary of Statistical Terms, 2002.
Budget Institutions and Fiscal Performance in Low-Income Countries, Journal Issue, p.80, 2010. ,
Flexible fiscal rules and countercyclical fiscal policy, Journal of Macroeconomics, vol.52, 2017. ,
Is it (Still) Mostly Fiscal? Determinants of Sovereign Spreads in Emerging Markets, 2008. ,
Threshold effects in non-dynamic panels: Estimation, testing, and inference, Journal of econometrics, vol.93, pp.345-368, 1999. ,
Debt dilution and sovereign default risk, Journal of political economy, vol.124, pp.1383-1422, 2016. ,
DOI : 10.2139/ssrn.2625239
URL : http://www.richmondfed.org/publications/research/working_papers/2010/pdf/wp10-08R.pdf
Does high public debt consistently stifle economic growth? A critique of Reinhart and Rogoff, Cambridge Journal of Economics, vol.38, issue.2, pp.257-279, 2013. ,
Is public capital really productive? A methodological reappraisal, European Journal of Operational Research, vol.228, issue.1, 2013. ,
DOI : 10.1016/j.ejor.2012.12.030
URL : https://hal.archives-ouvertes.fr/halshs-00804179
Effects of Fiscal Contractions: The Importance of Preceding Exchange Rate Movements, Scandinavian Journal of Economics, vol.104, pp.423-441, 2002. ,
How big (small?) are fiscal multipliers?, Journal of monetary economics, vol.60, issue.2, pp.239-254, 2013. ,
DOI : 10.5089/9781455218028.001
URL : https://www.elibrary.imf.org/doc/IMF001/11703-9781455218028/11703-9781455218028/Other_formats/Source_PDF/11703-9781462313198.pdf
, Making Public Investment More Efficient, 2015.
Exchange rate policy and sovereign bond spreads in developing countries, Journal of Money, Credit and Banking, vol.45, pp.1275-1300, 2013. ,
Intra-regional credit contagion and global systemic risk in international sovereign debt markets, 2013. ,
Bank lending and contagion: evidence from the Asian crisis, Regional and Global Capital Flows: Macroeconomic Causes and Consequences, vol.10, pp.73-99, 2001. ,
The worldwide governance indicators: methodology and analytical issues, Hague Journal on the Rule of Law, vol.3, pp.220-246, 2011. ,
Why are there serial defaulters? Evidence from constitutions, The Journal of Law and Economics, vol.50, pp.713-730, 2007. ,
How does democratization affect the composition of government expenditure, Journal of Economic Behavior & Organization, vol.137, pp.145-159, 2017. ,
THRET: Threshold Regression with Endogenous Threshold Variables, 2008. ,
Fiscal deficits, public debt, and sovereign bond yields, 2010. ,
Empirical Perspectives on Long-Term External Debt, Topics in Macroeconomics, vol.4, 2004. ,
Determinants of sovereign yield spreads in the Eurozone: A Bayesian approach, Journal of International Money and Finance, vol.31, issue.3, pp.657-672, 2012. ,
Government size, composition of public expenditure, and economic development, International Tax and Public Finance, vol.21, issue.4, pp.578-597, 2014. ,
Determinants of emerging market bond spread: do economic fundamentals matter?, 1998. ,
From Bear Stearns to Anglo Irish: how eurozone sovereign spreads related to financial sector vulnerability, 2009. ,
Why has productivity growth declined? Productivity and public investment, New England economic review, pp.3-22, 1990. ,
Assessing new perspectives on country risk, BIS Quarterly Review, 2004. ,
Determinants of Emerging Market Sovereign Bond Spreads; Fundamentals vs Financial Stress, 2010. ,
Dollarization: the link between devaluation and default risk. Central Bank of Argentina, 2000. ,
Government capital and the production function for US private output, Economics Letters, vol.13, pp.213-217, 1983. ,
Serial default and the" paradox" of rich to poor capital flows, 2004. ,
Serial Default and the "Paradox" of Rich-to-Poor Capital Flows, American Economic Review, vol.94, pp.53-58, 2004. ,
This time is different: A panoramic view of eight centuries of financial crises, National Bureau of Economic Research, 2005. ,
The aftermath of financial crises, American Economic Review, vol.99, pp.466-472, 2009. ,
Growth in a Time of Debt, 2010. ,
Banking crises: An equal opportunity menace, Journal of Banking & Finance, vol.37, pp.4557-4573, 2013. ,
Dealing with debt, Journal of International Economics, vol.96, 2015. ,
One reason countries pay their debts: renegotiation and international trade, Journal of Development Economics, vol.77, pp.189-206, 2005. ,
Determinants of spread, credit ratings and creditworthiness for emerging market sovereign debt: a follow-up study using pooled data analysis, Borradores de Economía, vol.296, 2004. ,
Determinants of Spred and Creditworthiness for Emerging Market Sovereign Debt: A Panel Data Study. Banco de la República, 2004. ,
Fiscal policy and private consumption in industrial and developing countries, Journal of Macroeconomics, vol.29, pp.912-939, 2007. ,
Is public expenditure really productive?: New evidence for the USA and The Netherlands, Economic Modelling, vol.12, pp.60-72, 1995. ,
Fiscal crises and aggregate demand: can high public debt reverse the effects of fiscal policy, Journal of public economics, vol.65, pp.147-162, 1997. ,
La politique budgétaire et ses effets de seuil sur l'activité en Union Economique et Monétaire Ouest Africaine (UEMOA). Économie & prévision, pp.145-162, 2008. ,
Public capital and private sector performance, Federal Reserve Bank of St. Louis Review, pp.3-15, 1991. ,
Political institutions and debt crises, Public Choice, vol.138, pp.387-408, 2008. ,
Fixed-effect panel threshold model using Stata, Stata Journal, vol.15, pp.121-134, 2015. ,
Connecting two views on financial globalization: Can we make further progress, Journal of the Japanese and International Economies, vol.20, pp.459-481, 2006. ,
Dependency Revisited: International Markets, Business Cycles, and Social Spending in the Developing World, International Organization, vol.60, 2006. ,
Simple Analytics of the Government Expenditure Multiplier, American Economic Journal: Macroeconomics, vol.3, issue.1, pp.1-35, 2011. ,
,