A Risk Management Approach to Emerging Market's Sovereign Debt Sustainability with an Application to Brazilian Data
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In this paper we study the question of debt sustainability from a risk management perspective. The debt accumulation equation for any country involves variables that are stochastic and closely intertwined. When these aspects are taken into consideration the notion of debt sustainability is expanded
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美国国家经济研究局创建时间:
2004-03-01



