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主权债务与违约的实证研究

Empirical Research on Sovereign Debt and Default
Annual Review of Economics · 2013 · Michael Tomz、Mark L. J. Wright

中文摘要

本文回顾了关于主权债务与违约的实证文献。在综述经济学家、历史学家和政治学家研究工作的同时,我们也强调理论研究者同期取得的进展,并建议采取措施以改善理论与数据之间的对应关系。

Abstract

In this article, 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.
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