If you liked Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets by Udaibir Das, Michael G. Papaioannou, and Christoph Trebesch, start with Does Regulatory Governance Matter for Financial System Stability? an Empirical Analysis (2004), Primer on Managing Sovereign Debt-Portfolio Risks (2018), and Financial Innovations Involving the Greek Drachma (1997). These recommendations are drawn from the same author, shared genres, and reader overlap on BookOrb.

Back to Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets · Udaibir Das books in order

Recommended next reads

  1. 1 Does Regulatory Governance Matter for Financial System Stability? an Empirical Analysis 2004 · 43 pages · Udaibir Das, Marc Quintyn, Kina Chenard · Same author
  2. 2 Primer on Managing Sovereign Debt-Portfolio Risks 2018 · 133 pages · Thórdur Jónasson, Michael G. Papaioannou · Same author
  3. 3 Financial Innovations Involving the Greek Drachma 1997 · 49 pages · Michael G. Papaioannou · Same author
  4. 4 Distributional Consequences of Fiscal Consolidation and the Role of Fiscal Policy 2013 · 37 pages · Michael G. Papaioannou, Tidiane Kinda, Elva Bova, Yuanyan Sophia Zhang, Jaejoon Woo · Same author
  5. 5 China's Road to Greater Financial Stability 2013 · 229 pages · Udaibir Das, Jonathan Fiechter · Same author
  6. 6 A primer for risk measurement of bonded debt from the perspective of a sovereign debt manager 2006 · 47 pages · Michael G. Papaioannou · Same author
  7. 7 Sovereign Asset and Liability Management in Emerging Market Countries 2019 · 40 pages · André Amante, Phillip Anderson, Thórdur Jónasson, Herman Kamil, Michael G. Papaioannou · Same author
  8. 8 Assessing Loss of Market Access 2017 · 63 pages · Anastasia Guscina, Sheheryar Malik, Michael G. Papaioannou · Same author
  9. 9 Commodity-Based Sovereign Wealth Funds 2018 · 35 pages · Abdullah Al-Hassan, Sue Brake, Michael G. Papaioannou, Martin Skancke · Same author
  10. 10 Cost of Aggressive Sovereign Debt Policies 2009 · 37 pages · Christoph Trebesch · Same author
  11. 11 Quality of Financial Policies and Financial System Stress 2005 · 48 pages · Udaibir Das, Plamen Yossifov, Richard Podpiera · Same author
  12. 12 Managing Public Debt and Its Financial Stability Implications 2010 · 27 pages · Udaibir Das, Jay Surti, Faisal Ahmed · Same author

Frequently asked questions

What should I read after Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets?

BookOrb recommends Does Regulatory Governance Matter for Financial System Stability? an Empirical Analysis (2004), Primer on Managing Sovereign Debt-Portfolio Risks (2018), Financial Innovations Involving the Greek Drachma (1997), Distributional Consequences of Fiscal Consolidation and the Role of Fiscal Policy (2013), and China's Road to Greater Financial Stability (2013).

Are there books like Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets?

Yes. The list on this page is ranked from the closest matches BookOrb has for Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets.

Who wrote Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets?

Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets is by Udaibir Das, Michael G. Papaioannou, and Christoph Trebesch.