Standout Papers

The Greek debt restructuring: an autopsy 2013 2026 2017 2021 144
  1. The Greek debt restructuring: an autopsy (2013)
    Jeromin Zettelmeyer, Christoph Trebesch et al. Economic Policy

Citation Impact

Citing Papers

Indexed Sovereign Debt: a Survey and a Framework of Analysis
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Emerging Markets and Financial Globalization: Sovereign Bond Spreads in 1870-1913 and Today
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Determinants of Bank Profitability in Ukraine
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Currency Crises, Monetary Policy and Corporate Balance Sheets
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Examining the debt implications of the Belt and Road Initiative from a policy perspective
2019
Sovereign Bond Market Reactions to Fiscal Rules and No-Bailout Clauses The Swiss Experience
2013
What's new in economic sanctions?
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Fiscal transition in countries of the former Soviet Union: An interim assessment
1996
Deciphering the Liquidity and Credit Crunch 2007–2008
2009 Standout
Cross-Border Banking in Europe: Implications for Financial Stability and Macroeconomic Policies
2011
Energy investment risk assessment for nations along China’s Belt & Road Initiative
2017 Standout
Efficiency of the Polish banking industry: Foreign versus domestic banks
2005 Standout
The Cross-Country Incidence of the Global Crisis
2010
Foreign direct investment in Central and Eastern European countries: a dynamic panel analysis
2004
Option Value, Policy Uncertainty, and the Foreign Direct Investment Decision
2003
The Economic Consequences of Legal Origins
2008 Standout
Fiscal policy and interest rates in Europe
2006
Determinants of Commercial Bank Performance in Transition: An Application of Data Envelopment Analysis
2002
What determines foreign direct investment in Russia?
2019
The Impact of the Global Financial Crisis on Banking Globalization
2015 Standout
What Parts of Globalization Matter for Catch-Up Growth?
2010 StandoutNobel
Systemic Banking Crises: A New Database
2008
Privatization and output behavior during the transition: Methods matter!
2007
Paying a visit: The Dalai Lama effect on international trade
2013
Sovereign Debt, Migration Pressure, and Government Survival
2016
Exchange rate volatility and productivity growth: The role of financial development
2009 StandoutNobel
Sovereign spreads in the eurozone: which prospects for a Eurobond?
2012
On the notion of regional economic resilience: conceptualization and explanation
2014 Standout
Systemic Banking Crises Database II
2020
The Spillovers from Easy Liquidity and the Implications for Multilateralism
2019 StandoutNobel
The European Sovereign Debt Crisis
2012 Standout
Do good institutions enhance the effect of technological spillovers on productivity? Comparative evidence from developed and transition economies
2014
Growth Dynamics: The Myth of Economic Recovery
2008
Trade, Foreign Direct Investment, and Growth: Evidence from Transition Economies
2009
Sovereign Risk and Secondary Markets
2010
Reforming the Global Economic Architecture: Lessons from Recent Crises
1999 StandoutNobel
Inside and Outside Liquidity
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Barriers to Non-Formal Professional Training in Spain in Periods of Economic Growth and Crisis. An Analysis with Special Attention to the Effect of the Previous Human Capital of Workers
2014 Standout
Determinants of House Prices in Central and Eastern Europe
2007 Standout
Economic Freedom of the World - 2021 Annual Report
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Banking Crises: A Review
2011
THE EXCHANGE RATE, DIVERSIFICATION AND DISTRIBUTION IN A MODIFIED RICARDIAN MODEL WITH A CONTINUUM OF GOODS*
2012
Variational Mode Decomposition
2014 Standout
The Governance of a Fragile Eurozone
2012 Standout
Failing Forward? The Euro Crisis and the Incomplete Nature of European Integration
2015 Standout
Rural Windfall or a New Resource Curse? Coca, Income, and Civil Conflict in Colombia
2008 StandoutNobel
Financial Crises: Explanations, Types and Implications
2013
Debt Maturity and the International Financial Architecture
2004
Do high interest rates defend currencies during speculative attacks?
2003
A Theory of Military Dictatorships
2008 StandoutNobel
Export Versus FDI with Heterogeneous Firms
2004 Standout
Political Uncertainty and Corporate Investment Cycles
2012 Standout
Equilibrium Exchange Rates in Transition Economies: Taking Stock of the Issues*
2006
Persistence of Power, Elites, and Institutions
2008 StandoutNobel
Inefficient Foreign Borrowing: A Dual- and Common-Agency Perspective
2003 StandoutNobel
Mineral wealth and the economic transition: Kazakstan
1998
The Unofficial Economy in Transition
1997 StandoutNobel
Political Limits to Globalization
2010 StandoutNobel
What Determines Debt Intolerance? The Role of Political and Monetary Institutions
2009
Markets and jungles
2011
The impact of financial sanctions on the Russian economy
2015 Standout
Economic Growth in Colombia : a reversal of "fortune"?
2007 Standout
Innovation and Productivity in SMEs - Empirical Evidence for Italy
2009 Standout
Income Inequality, Capitalism, and Ethno-Linguistic Fractionalization
2015
Regional economic resilience, hysteresis and recessionary shocks
2011 Standout
Pitfalls in estimating equilibrium exchange rates for transition economies
2005
Money in a Theory of Banking
2003 StandoutNobel
Understanding the Soft Budget Constraint
2003 StandoutNobel
Stories of the Twentieth Century for the Twenty-First
2012
The case for GDP-indexed bonds
2004
Why Does Misallocation Persist?
2009 StandoutNobel
A new country risk index for emerging markets: A stochastic dominance approach
2012
From State to Market: A Survey of Empirical Studies on Privatization
2001
OIL PRICE SHOCKS AND STOCK MARKET BOOMS IN AN OIL EXPORTING COUNTRY
2009
Rural Windfall or a New Resource Curse? Coca, Income, and Civil Conflict in Colombia
2007 StandoutNobel
Balance Sheets and Exchange Rate Policy
2004 Standout
Rural–Urban Living and Level of Economic Development as Factors in Subjective Well-Being
2015 Standout
The Prospects for Sustained Growth in Africa: Benchmarking the Constraints
2007 StandoutNobel
Prospects for Sustained Growth in Africa: Benchmarking the Constraints
2009 StandoutNobel
How to secure external sustainability of the russian economy
2013
Restoring Financial Stability in the Euro Area
2011
Determinants of Commercial Bank Performance in Transition: An Application of Data Envelopment Analysis
2002
The Effects of Privatization and Ownership in Transition Economies
2009 Standout
An analysis of eurobonds
2014
The role of creditor seniority in Europe's sovereign debt crisis
2014
Exchange Rate Volatility and Productivity Growth: The Role of Financial Development
2006 StandoutNobel
Determinants of Commercial Bank Performance in Transition: An Application of Data Envelopment Analysis
2006
Sovereign risk premiums in the European government bond market
2012 Standout
Macroeconomic and bank-specific determinants of non-performing loans in Greece: A comparative study of mortgage, business and consumer loan portfolios
2011 Standout
Fiscal Transition in Countries of the Former Soviet Union: An Interim Assessment
1996
The Persistence of Underdevelopment: Constituencies and Competitive Rent Preservation
2006
Sovereign Bond Market Reactions to Fiscal Rules and No-Bailout Clauses – The Swiss Experience
2013
CONTESTED TERRAIN: Mining and the Environment
2004 Standout
The Effect of Fixed Exchange Rates on Monetary Policy
2004
Research on the Impact of Geopolitical Instability on Russian Trade
2024 Standout
WHY DO EMERGING ECONOMIES BORROW SHORT TERM?
2013
Economic Sanctions and Banking Crises in Target Economies
2016 Standout

Works of Jeromin Zettelmeyer being referenced

The Evolution of Output in Transition Economies: Explaining the Differences
1999
EXCHANGE RARE REGIMES AND EXTERNAL ADJUSTMENT: NEW ANSWERS TO AN OLD DEBATE
2008
The Greek Debt Restructuring: An Autopsy
2013
The IMF's approach to stabilization in the Baltics, Russia and the other former Soviet Union countries
1995
Competitiveness in Transition Economies: What Scope for Real Appreciation?
1998
The Impact of Monetary Policy on the Exchange Rate: Evidence from Three Small Open Economies
2000
Debt Defaults and Lessons from a Decade of Crises
2007
Haircuts: Estimating investor losses in sovereign debt restructurings, 1998–2005
2007
Original Sin, Balance Sheet Crises, and the Roles of International Lending
2002
Bankruptcy Procedures for Sovereigns: A History of Ideas, 1976-2001
2002
How Do Official Bailouts Affect the Risk of Investing in Emerging Markets?
2006
The Economics and Law of Sovereign Debt and Default
2009
Early Ideason Sovereign Bankruptcy Reorganization: A Survey
2002
What Makes Growth Sustained?
2007
The impact of monetary policy on the exchange rate: evidence from three small open economies
2004
International Bailouts, Moral Hazard, and Conditionality
2001
Understanding the Crisis in Emerging Europe
2010
Financial integration and growth — Why is Emerging Europe different?
2012
The Greek debt restructuring: an autopsy
2013 Standout
What Moves Capital to Transition Economies?
2002
Monetary Independence in Emerging Markets: Does the Exchange Rate Regime Make a Difference?
2001
What Moves Capital to Transition Economies?
2001
Sovereign Debt Structure for Crisis Prevention
2005
Moral Hazard and International Crisis Lending: A Test
2002
The Evolution of Output in Transition Economies: Explaining the Differences
1999
Understanding the Crisis in Emerging Europe
2009
What Moves Capital to Transition Economies?
2002
What makes growth sustained?
2011
What Makes Growth Sustained?
2008
How Private Creditors Fared in Emerging Debt Markets, 1970-2000
2004
Deciphering the ECB Securities Markets Programme: The Case of Greek Bonds
2012
Competitiveness in Transition Economies: What Scope for Real Appreciation?
1997
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