Items where Subject is "HG3691 Credit. Debt. Loans"

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Number of items at this level: 21.

Article

Ahamed, M Mostak and Mallick, Sushanta K (2017) House of restructured assets: how do they affect bank risk in an emerging market? Journal of International Financial Markets, Institutions and Money, 47. pp. 1-14. ISSN 1042-4431

Antoniades, Andreas (2018) Gazing into the abyss of indebted society: the social power of money and debt. Political Studies Review, 16 (4). pp. 279-288. ISSN 1478-9299

Antoniades, Andreas (2013) Recasting the power politics of debt: structural power, hegemonic stabilisers and change. Third World Quarterly, 34 (2). pp. 214-232. ISSN 0143-6597

Antoniades, Andreas (2017) The new resilience of emerging and developing countries: systemic interlocking, currency swaps and geoeconomics. Global Policy, 8 (2). pp. 170-180. ISSN 1758-5880

Antoniades, Andreas and Griffith-Jones, Stephany (2018) Global debt dynamics: the elephant in the room. World Economy, 41 (12). pp. 3256-3268. ISSN 0378-5920

Antoniades, Andreas and Panizza, Ugo (2017) How ‘demos’ met ‘cracy’: debt, inequality, money. Third World Thematics: A TWQ Journal, 2 (6). pp. 727-743. ISSN 2380-2014

Cantia, Catalin and Tunaru, Radu (2017) A factor model for joint default probabilities. Pricing of CDS, index swaps and index tranches. Insurance: Mathematics and Economics, 72. pp. 21-35. ISSN 0167-6687

Dobbie, Will, Liberman, Andres, Paravisini, Daniel and Pathania, Vikram (2020) Measuring bias in consumer lending. Review of Economic Studies. pp. 1-90. ISSN 0034-6527

Leccadito, Arturo, Tunaru, Radu S and Urga, Giovanni (2015) Trading strategies with implied forward credit default swap spreads. Journal of Banking & Finance, 58. pp. 361-375. ISSN 0378-4266

Liberman, Andres, Paravisini, Daniel and Pathania, Vikram (2021) High-cost debt and perceived creditworthiness: evidence from the UK. Journal of Financial Economics. ISSN 0304-405X

Matousek, Roman and Sarantis, Nicholas (2009) The bank lending channel and monetary transmission in Central and Eastern European countries. Journal of Comparative Economics, 37 (2). pp. 321-334. ISSN 0147-5967

Raberto, Marco, Rapallo, Fabio and Scalas, Enrico (2011) Semi-Markov graph dynamics. PLoS ONE, 6 (8). e23370. ISSN 1932-6203

Saka, Orkun, Fuertes, Ana-Maria and Kalotychou, Elena (2015) ECB policy and Eurozone fragility: was De Grauwe right? Journal of International Money and Finance, 54. pp. 168-185. ISSN 0261-5606

Stefanescu, Catalina, Tunaru, Radu and Turnbull, Stuart (2009) The credit rating process and estimation of transition probabilities: a Bayesian approach. Journal of Empirical Finance, 16 (2). pp. 216-234. ISSN 0927-5398

Reports and working papers

Antoniades, Andreas and Griffith-Jones, Stephany (2018) Global debt dynamics: what has gone wrong. Working Paper. CGPE Working Papers Series.

Book

Osborne, Michael J (2014) Multiple interest rate analysis: theory and applications. Palgrave Macmillan, Basingstoke. ISBN 9781137372765

Edited Book

Antoniades, Andreas and Panizza, Ugo, eds. (2019) Global debt dynamics: crises, lessons, governance. ThirdWorlds . Routledge, London. ISBN 9780367151935

Thesis

Aladwan, Zaid Mahmoud (2020) Withholding payment in documentary credit: discrepancies, fraud and nullity. Doctoral thesis (PhD), University of Sussex.

Claydon, Jane Elizabeth (2014) What’s the charge? Perceptions of blame and responsibility for credit card debt. Doctoral thesis (PhD), University of Sussex.

Lari Dashtbayaz, Mahmoud (2011) Cash flow accounting and the cost of debt. Doctoral thesis (DPhil), University of Sussex.

Siepel, Joshua (2011) Capabilities, policy and institutions in the emergence of venture capital in the UK and US. Doctoral thesis (DPhil), University of Sussex.

This list was generated on Tue Oct 26 16:55:14 2021 BST.