|Up a level|
Bartlett, Will and Prica, Ivana (2011) The variable impact of the global economic crisis in South East Europe. Ekonomski anali, 56 (191). pp. 7-34. ISSN 0013-3264
Bartlett, Will and Prica, Ivana (2012) The variable impact of the global economic crisis in South East Europe. Papers on South Eastern Europe, 4. LSEE - Research on South Eastern Europe, London, UK.
Buiter, Willem H. and Gourinchas, Pierre-Olivier (2002) Current account deficits in the euro area: the end of the Feldstein-Horioka puzzle? Brookings papers on economic activity, 2002 (2). pp. 187-209. ISSN 0007-2303
Caraveli, Helen and Tsionas, Efthymios G. (2012) Economic restructuring, crises and the regions: the political economy of regional inequalities in Greece. GreeSE papers, 61. London School of Economics and Political Science, Hellenic Observatory, London, UK.
Christodoulaki, Olga, Cho, Haeran and Fryzlewicz, Piotr (2011) A reflection of history: fluctuations in Greek sovereign risk between 1914 and 1929. GreeSE, 50. Hellenic Observatory, London, UK.
Corsetti, Giancarlo, Guimaraes, Bernardo and Roubini, Nouriel (2003) International lending of last resort and moral hazard: a model of IMF's catalytic finance. 10125. National Bureau for Economic Research, Cambridge, MA., USA.
Cunat, Alejandro and Fons-Rosen, Christian (2008) Relative factor endowments and international portfolio choice. CEPDP, 879. Centre for Economic Performance, London School of Economics and Political Science, London, UK. ISBN 9780853282860
Doomen, Jasper (2012) Control over state properties by countries that provide financial aid would incentivize southern European economies to repay their loans. LSE European Politics and Policy (EUROPP) Blog (16 Jul 2012) Blog Entry.
de Grauwe, Paul (2012) The European central bank: lender of last resort in the government bond markets? In: Allen, Franklin, Carletti, Elena and Simonelli, Saverio, (eds.) Governance for the Eurozone: integration or disintegration? FIC Press, Philadelphia, PA, USA, pp. 17-28. ISBN 9780983646945
de Grauwe, Paul and Ji, Yuemei (2012) Mispricing of sovereign risk and multiple equilibria in the Eurozone. CEPS working documents, No. 316. Centre for European Policy Studies, Brussels, Belgium. ISBN 9789461381620
Foley-Fisher, Nathan and Guimaraes, Bernardo (2009) US real interest rates and default risk in emerging economies. CEP Discussion Paper, No. 952. Centre for Economic Performance, London School of Economics and Political Science, London, UK.
Gilson, Chris and Kirchherr, Julian (2012) Brussels blog round up for 9 – 15 June 2012: preparing for Rio+20, liquid democracy and is Italy next in line for a bailout? LSE European Politics and Policy (EUROPP) Blog (15 Jun 2012) Blog Entry.
Guimaraes, Bernardo (2011) Sovereign default: which shocks matter? Review of economic dynamics, 14 (4). pp. 553-576. ISSN 1096-6099
Hilscher, Jens and Nosbusch, Yves (2010) Determinants of sovereign risk: macroeconomic fundamentals and the pricing of sovereign debt. Review of finance, 14 (2). pp. 235-262. ISSN 1572-3097
Jobst, Andreas A. (2002) Loan securitisation: default term structure and asset pricing based on loss prioritisation. Discussion paper, 422. Financial Markets Group, London School of Economics and Political Science, London, UK.
Marchesi, Silvia and Sabani, Laura (2005) IMF concern for reputation and conditional lending failure: theory and empirics. Discussion paper, 535. Financial Markets Group, London School of Economics and Political Science, London, UK.
Meyer, Henning (2011) Five ways to solve the eurozone crisis. The Guardian (20 May 2011) Opinion Piece.
Meyer, Henning (2010) The eurozone's critical design flaws. The Guardian (17 Feb 2010) Opinion Piece.