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Empirical research on sovereign debt and default

dc.contributor.authorTomz, Michael
dc.contributor.authorWright, Mark L. J.
dc.date.accessioned2025-03-27T01:14:31Z
dc.date.available2025-03-27T01:14:31Z
dc.date.issued2013-01
dc.description.abstractIn this essay we review the empirical literature about sovereign debt and default. As we survey the work of economists, historians, and political scientists, we also emphasize parallel developments by theorists and recommend steps to improve the correspondence between theory and data.
dc.identifier.urihttps://hdl.handle.net/1885/733743572
dc.language.isoen_AU
dc.provenanceThe publisher permission to make it open access was granted in November 2024
dc.publisherCrawford School of Public Policy, The Australian National University
dc.relation.ispartofseriesCAMA Working Paper 16/2013
dc.rightsAuthor(s) retain copyright
dc.sourceCentre for Applied Macroeconomic Analysis Working Papers
dc.source.urihttps://crawford.anu.edu.au
dc.titleEmpirical research on sovereign debt and default
dc.typeWorking/Technical Paper
dcterms.accessRightsOpen Access
dspace.entity.typePublication
local.bibliographicCitation.issue16/2013
local.type.statusPublished Version

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