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Michael G. Papaioannou
Michael G. Papaioannou
International Monetary Fund
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Title
Cited by
Cited by
Year
Sovereign debt restructurings 1950-2010: Literature survey, data, and stylized facts
MUS Das, MMG Papaioannou, C Trebesch
International Monetary Fund, 2012
4452012
Exchange rate risk measurement and management: Issues and approaches for firms
MG Papaioannou
IMF Working paper, 2006
2602006
Determinants of emerging market sovereign bond spreads: fundamentals vs financial stress
I Petrova, MMG Papaioannou, MD Bellas
International Monetary Fund, 2010
2462010
Sovereign wealth funds: Aspects of governance structures and investment management
A Al-Hassan, MMG Papaioannou, M Skancke, CC Sung
International Monetary Fund, 2013
1792013
Managing public debt and its financial stability implications
MUS Das, J Surti, MF Ahmed, MMG Papaioannou, MG Pedras
International Monetary Fund, 2010
1382010
After Paris: Fiscal, macroeconomic, and financial implications of climate change
M Farid, M Keen, M Papaioannou, I Parry, C Pattillo, A Ter-Martirosyan
IMF Staff Discussion Note 16 (1), 2016
1052016
Sovereign default risk and private sector access to capital in emerging markets
MUS Das, MMG Papaioannou, C Trebesch
International Monetary Fund, 2010
1042010
Procyclical behavior of institutional investors during the recent financial crisis: Causes, impacts, and challenges
MMG Papaioannou, MJ Park, J Pihlman, H Van der Hoorn
International Monetary Fund, 2013
682013
Determinants of the choice of exchange rate regimes in six Central American countries: an empirical analysis
MMG Papaioannou
International Monetary Fund, 2003
532003
Sovereign risk and asset and liability management: Conceptual issues
MUS Das, MY Lu, MMG Papaioannou, I Petrova
International Monetary Fund, 2012
462012
The internationalization of emerging equity markets
M Papaioannou, L Duke
finance and development 30, 36-36, 1993
461993
Restructuring sovereign debt: Lessons from recent history
US Das, MG Papaioannou, C Trebesch
IMF Seminars, Conferences and Workshops. Financial Crises: Causes …, 2012
382012
Sovereign debt restructurings in Grenada: Causes, processes, outcomes, and lessons learned
T Asonuma, M Xin Li, MG Papaioannou, S Thomas, E Togo
Journal of Banking and Financial Economics, 67-105, 2018
362018
Exchange rate risk measurement and management: issues and approaches for public debt managers.
M Papaioannou
South-Eastern Europe journal of economics 7 (1), 2009
362009
other IMF staff. 2016.“After Paris: Fiscal, Macroeconomic, and Financial Implications of Climate Change.”
M Farid, M Keen, M Papaioannou, I Parry, C Pattillo, A Ter-Martirosyan
IMF Discussion Note, 1-46, 0
30
A primer on managing sovereign debt-portfolio risks
T Jonasson, MMG Papaioannou
International Monetary Fund, 2018
292018
After Paris: Fiscal, macroeconomic, and financial implications of climate change. IMF Staff Discussion Note
M Farid, M Keen, M Papaioannou, I Parry, C Pattillo, A Ter-Martirosyan
SDN/16/01, 2016
28*2016
Sovereign wealth fund asset allocations—Some stylized facts on the Norway pension fund global
MG Papaioannou, B Rentsendorj
Procedia Economics and Finance 29, 195-199, 2015
272015
Macrofinancial linkages of the strategic asset allocation of commodity-based Sovereign Wealth Funds
AHC Brown, MMG Papaioannou, I Petrova
International Monetary Fund, 2010
262010
Do enhanced collective action clauses affect sovereign borrowing costs?
K Chung, MG Papaioannou
Journal of Banking and Financial Economics, 59-87, 2021
242021
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Articles 1–20