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Political instability and country risk: new evidence. (1997). de Haan, Jakob ; Clemens L. J. Siermann, ; Van Lubek, Erna .
In: Applied Economics Letters.
RePEc:taf:apeclt:v:4:y:1997:i:11:p:703-707.

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  1. .

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  2. Social credit: a comprehensive literature review. (2015). Yu, Lean ; Tang, Ling ; Li, Xinxie ; Kou, Gang ; Zhang, Zongyi.
    In: Financial Innovation.
    RePEc:spr:fininn:v:1:y:2015:i:1:d:10.1186_s40854-015-0005-6.

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  3. Financial crisis and monetary policy. (2014). Karatas, Bilge.
    In: Other publications TiSEM.
    RePEc:tiu:tiutis:41e463f0-e122-4379-8db5-6547713486d4.

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  4. The origin of bias in sovereign credit ratings: reconciling agency views with institutional quality. (2014). Ozturk, Huseyin.
    In: Journal of Developing Areas.
    RePEc:jda:journl:vol.48:year:2014:issue4:pp:161-188.

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  5. Three Sisters: The Interlinkage between Sovereign Debt, Currency and Banking Crises. (2013). Karatas, Bilge ; Eijffinger, Sylvester ; Eijffinger, Sylvester C W, .
    In: CEPR Discussion Papers.
    RePEc:cpr:ceprdp:9369.

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  6. Country Risk Analysis: A Survey of the Quantitative Methods. (2009). Nath, Hiranya.
    In: Economia Internazionale / International Economics.
    RePEc:ris:ecoint:0014.

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  7. Country Risk Analysis: A Survey of the Quantitative Methods. (2008). Nath, Hiranya.
    In: Working Papers.
    RePEc:shs:wpaper:0804.

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  8. Uncertainty and international debt maturity. (2007). Valev, Neven.
    In: Journal of International Financial Markets, Institutions and Money.
    RePEc:eee:intfin:v:17:y:2007:i:4:p:372-386.

    Full description at Econpapers || Download paper

  9. Institutional uncertainty and the maturity of international loans. (2006). Valev, Neven.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:25:y:2006:i:5:p:780-794.

    Full description at Econpapers || Download paper

  10. Determinants of Country Beta Risk in Poland. (2004). Wdowinski, Piotr.
    In: CESifo Working Paper Series.
    RePEc:ces:ceswps:_1120.

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  11. Capital flight and political risk. (2000). lensink, robert ; Hermes, Niels ; Murinde, Victor.
    In: Journal of International Money and Finance.
    RePEc:eee:jimfin:v:19:y:2000:i:1:p:73-92.

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  12. Modeling Australias country risk: a country beta approach. (2000). faff, robert ; Brooks, Robert ; Gangemi, Michael A. M., .
    In: Journal of Economics and Business.
    RePEc:eee:jebusi:v:52:y:2000:i:3:p:259-276.

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  13. Capital flight and political risk. (1998). Hermes, Niels ; Lensink, Robert ; Murinde, Victor.
    In: Research Report.
    RePEc:gro:rugsom:98c34.

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References

References cited by this document

  1. Balkan, Erol M.. (1992). Political instability, country risk and probability of default. In: Applied Economics, 24 9 pp. 999-1008.
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  2. Bondt, G.J. de and Winder, C.C.A. (1995) An empirical indicator for assessing countries’ credit worthiness, De Nederlandsche Bank, mimeo (published in Dutch in: DNB, Onderzoeks-rapport WO&E, nr. 437, August 1995).
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  3. Citron, Joel-Tomas ; Nickelsburg, Gerald. (1987). Country risk and political instability. In: Journal of Development Economics, 25 2 pp. 385-392.

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  6. Dropsy V., 1992. Country Risk Analysis: a Handbook
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  7. Feder, Gershon ; Just, Richard ; Ross, Knud. (1981). Projecting Debt Servicing Capacity of Developing Countries. In: The Journal of Financial and Quantitative Analysis, 16 5 pp. 651.

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  12. Kharas, Homi. (1984). The Long-Run Creditworthiness of Developing Countries: Theory and Practice. In: The Quarterly Journal of Economics, 99 3 pp. 415.

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  15. Saini, Krishan G. ; Bates, Philip S.. (1984). A survey of the quantitative approaches to country risk analysis. In: Journal of Banking & Finance, 8 2 pp. 341-356.

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  4. Research on political instability, uncertainty and risk during 1953–2019: a scientometric review. (2020). Luo, Jiangshui ; Yi, Yingting ; Wubbenhorst, Michael.
    In: Scientometrics.
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  5. Debt and Financial Crises. (2020). Koh, Wee Chian ; Kose, Ayhan ; Nagle, Peter S ; Sugawara, Naotaka ; Ohnsorge, Franziska L.
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  7. Debt and Financial Crises. (2020). Koh, Wee Chian ; Kose, Ayhan ; Nagle, Peter ; Ohnsorge, Franziska ; Sugawara, Naotaka.
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  8. Islamic banks and political risk: International evidence. (2019). Hassan, M. Kabir ; Soumare, Issouf ; Grira, Jocelyn ; Belkhir, Mohamed.
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  9. Friends for the benefits: The effects of political ties on sovereign borrowing conditions. (2019). HASAN, IFTEKHAR ; Ambrocio, Gene.
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  10. Financial crises and the extreme bounds of predictors. (2018). Inekwe, John.
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  11. The Impact of Bailouts on Political Turnover and Sovereign Default Risk. (2018). Scholl, Almuth ; Prein, Timm M.
    In: Working Paper Series of the Department of Economics, University of Konstanz.
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  12. .

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  13. Estimating the Long-Run Creditworthiness of Pakistan. (2017). Qayyum, Abdul ; Hashmi, Rimsha Karim .
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  14. Impact of political instability on foreign direct investment and Economic Growth: Evidence from Malaysia. (2017). Masih, Abul ; Nazeer, Abdul Malik .
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  19. Extreme bounds of sovereign defaults: Evidence from the MENA region. (2016). Zeaiter, Hussein ; El-Khalil, Raed .
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  20. Political risk and international valuation. (2016). Siegel, Stephan ; Harvey, Campbell ; Bekaert, Geert ; Lundblad, Christian T.
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  25. The origin of bias in sovereign credit ratings: reconciling agency views with institutional quality. (2014). Ozturk, Huseyin.
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  48. Political instability and country risk: new evidence. (1997). de Haan, Jakob ; Clemens L. J. Siermann, ; Van Lubek, Erna .
    In: Applied Economics Letters.
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    Full description at Econpapers || Download paper

  49. Political instability and country risk. (1997). Rivoli, Pietra ; Brewer, Thomas L..
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