Michael G. Papaioannou : Citation Profile


Are you Michael G. Papaioannou?

International Monetary Fund (IMF)

8

H index

8

i10 index

310

Citations

RESEARCH PRODUCTION:

12

Articles

23

Papers

3

Chapters

RESEARCH ACTIVITY:

   28 years (1993 - 2021). See details.
   Cites by year: 11
   Journals where Michael G. Papaioannou has often published
   Relations with other researchers
   Recent citing documents: 44.    Total self citations: 9 (2.82 %)

MORE DETAILS IN:
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   Permalink: http://citec.repec.org/ppa1185
   Updated: 2022-01-15    RAS profile: 2021-12-02    
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Relations with other researchers


Works with:

Asonuma, Tamon (5)

Authors registered in RePEc who have co-authored more than one work in the last five years with Michael G. Papaioannou.

Is cited by:

Trebesch, Christoph (9)

Wright, Mark (8)

Erce, Aitor (7)

Kouretas, Georgios (6)

Minea, Alexandru (5)

Crifo, Patricia (5)

Schumacher, Julian (5)

Arellano, Cristina (4)

Beers, David (4)

Jalles, Joao (4)

Sawadogo, Pegdewende (4)

Cites to:

Reinhart, Carmen (20)

Rogoff, Kenneth (18)

Asonuma, Tamon (17)

Wright, Mark (14)

Trebesch, Christoph (14)

Rose, Andrew (8)

Panizza, Ugo (8)

Svensson, Lars (8)

Sy, Amadou (7)

Mody, Ashoka (7)

Fostel, Ana (6)

Main data


Where Michael G. Papaioannou has published?


Journals with more than one article published# docs
Journal of Banking and Financial Economics3
South-Eastern Europe Journal of Economics2

Working Papers Series with more than one paper published# docs
IMF Working Papers / International Monetary Fund21

Recent works citing Michael G. Papaioannou (2021 and 2020)


YearTitle of citing document
2020Visualizing Treasury Issuance Strategy. (2018). Cameron, Christopher. In: Papers. RePEc:arx:papers:1802.03376.

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2020Government Bond Market Integration in ASEAN Countries. (2020). Zhuo, Juanjuan ; Kumamoto, Masao. In: Asian Economic and Financial Review. RePEc:asi:aeafrj:2020:p:289-312.

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2020Don’t look back in anger: The use of derivatives in public debt management in Italy. (2020). Vadala, Emilio ; de Angelis, Ilaria ; Bucci, Mauro. In: Questioni di Economia e Finanza (Occasional Papers). RePEc:bdi:opques:qef_550_20.

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2020Capital flows during the pandemic: lessons for a more resilient international financial architecture. (2020). van Hombeeck, Carlos Eduardo ; Nispi Landi, Valerio ; Moro, Alessandro ; Eguren Martin, Fernando ; Schiavone, Alessandro ; Maurini, Claudia ; Joy, Mark. In: Questioni di Economia e Finanza (Occasional Papers). RePEc:bdi:opques:qef_589_20.

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2021Covid-19 and Capital Flows: The Responses of Investors to the Responses of Governments. (2021). Nitsch, Volker ; Goldbach, Stefan. In: CESifo Working Paper Series. RePEc:ces:ceswps:_9416.

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2020The Insurance Properties of Common Debt Issuance. (2020). Gros, Daniel. In: EconPol Policy Reports. RePEc:ces:econpr:_28.

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2021Non-bank financial intermediation in the euro area: implications for monetary policy transmission and key vulnerabilities. (2021). Taboga, Marco ; Moura, Alban ; Migiakis, Petros ; Maddaloni, Angela ; Mazelis, Falk ; Mayordomo, Sergio ; Kaufmann, Christoph ; Matilainen, Jani ; Holm-Hadulla, Federic ; Schober-Rhomberg, Alexandra ; Nicoletti, Giulio ; Tavares, Luis Miguel ; Gulan, Adam ; Corradin, Stefano ; Sedillot, Franck ; Cappiello, Lorenzo ; Ratnovski, Lev ; Behrens, Caterina ; Guazzarotti, Giovanni ; Koskinen, Kimmo ; Pierrard, Olivier ; Asimakopoulos, Ioannis ; Stupariu, Patricia ; Meme, Nicolas ; Avakian, Lucia Kazarian ; Golden, Brian ; Arts, Laura ; Soares, Carla ; Petersen, Annelie ; McCarthy, Barra ; Unger, Robert ; Giuzio, Margherita ; Zaghini, Andrea ; Sigmund, Michael ; Niemela, Juha ; van den
2021Funding behaviour of debt management offices and the ECB’s Public Sector Purchase Programme. (2021). von Landesberger, Julian ; Kaufmann, Christoph ; Plessen-Matyas, Katharina. In: Working Paper Series. RePEc:ecb:ecbwps:20212552.

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2021Does the composition of government spending matter for government bond spreads?. (2021). Sawadogo, Pegdewende ; Minea, Alexandru ; Combes, Jean-Louis. In: Economic Modelling. RePEc:eee:ecmode:v:96:y:2021:i:c:p:409-420.

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2020Gains from trade and the sovereign bond market. (2020). Sasahara, Akira ; Kikkawa, Ayumu Ken. In: European Economic Review. RePEc:eee:eecrev:v:124:y:2020:i:c:s0014292120300453.

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2020Sovereign wealth funds: Past, present and future. (2020). Bahoo, Salman ; Paltrinieri, Andrea ; Alon, Ilan. In: International Review of Financial Analysis. RePEc:eee:finana:v:67:y:2020:i:c:s1057521918308068.

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2021High water, no marks? Biased lending after extreme weather. (2021). Guin, Benjamin ; Garbarino, Nicola. In: Journal of Financial Stability. RePEc:eee:finsta:v:54:y:2021:i:c:s1572308921000346.

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2020Sovereign and private default risks over the business cycle. (2020). Kaas, Leo ; Mellert, Jan ; Scholl, Almuth. In: Journal of International Economics. RePEc:eee:inecon:v:123:y:2020:i:c:s002219962030012x.

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2020Infation, default and sovereign debt: The role of denomination and ownership. (2020). Sunder-Plassmann, Laura. In: Journal of International Economics. RePEc:eee:inecon:v:127:y:2020:i:c:s0022199620301082.

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2020Role of capital flight as a driver of sovereign bond spreads in Latin American countries. (2020). Sebri, Maamar ; Smida, Mounir ; Dachraoui, Hajer. In: International Economics. RePEc:eee:inteco:v:162:y:2020:i:c:p:15-33.

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2021Understanding Chinas role in recent debt relief operations: A case study analysis. (2021). Cheng, Gong ; Bon, Gatien. In: International Economics. RePEc:eee:inteco:v:166:y:2021:i:c:p:23-41.

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2021Financial stress and the probability of sovereign default. (2021). Saenz, Manrique ; Rho, Caterina. In: Journal of International Money and Finance. RePEc:eee:jimfin:v:110:y:2021:i:c:s0261560620302618.

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2020Can fiscal rules improve financial market access for developing countries?. (2020). Sawadogo, Pegdewende. In: Journal of Macroeconomics. RePEc:eee:jmacro:v:65:y:2020:i:c:s0164070420301403.

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2021Optimal capital account liberalization in China. (2021). Spiegel, Mark ; Liu, Zheng ; Zhang, Jingyi. In: Journal of Monetary Economics. RePEc:eee:moneco:v:117:y:2021:i:c:p:1041-1061.

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2021Saving for the future: Evaluating the sustainability and design of Pension Reserve Funds. (2021). Medina, Juan ; Castro, Ruben ; Villatoro, Felix ; Fajnzylber, Eduardo ; Castaeda, Pablo. In: Pacific-Basin Finance Journal. RePEc:eee:pacfin:v:68:y:2021:i:c:s0927538x19305190.

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2020Quantifying Risks to Sovereign Market Access: Methods and Challenges. (2020). Zigraiova, Diana ; Erce, Aitor ; Jiang, XU. In: Globalization Institute Working Papers. RePEc:fip:feddgw:87484.

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2020The Impact of the Introduction of Uniform European Collective Action Clauses on European Government Bonds as a Regulatory Result of the European Sovereign Debt Crisis. (2020). Samunderu, Eyden ; Layher, Nicoletta. In: Journal of Risk and Financial Management. RePEc:gam:jjrfmx:v:14:y:2020:i:1:p:1-:d:466569.

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2020Climate-Related Prudential Risks in the Banking Sector: A Review of the Emerging Regulatory and Supervisory Practices. (2020). Güngör, Hasan ; Gungor, Hasan ; Feridun, Mete. In: Sustainability. RePEc:gam:jsusta:v:12:y:2020:i:13:p:5325-:d:378973.

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2020Reducing Exchange Rate Risks in International Trade: A Hybrid Forecasting Approach of CEEMDAN and Multilayer LSTM. (2020). Sun, Qiubi ; Lin, Hualing ; Chen, Sheng-Qun . In: Sustainability. RePEc:gam:jsusta:v:12:y:2020:i:6:p:2451-:d:334986.

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2021Sustainable Economic Growth Support through Credit Transmission Channel and Financial Stability: In the Context of the COVID-19 Pandemic. (2021). Kanapickien, Rasa ; Keliuotyt-Staniulnien, Greta ; Teresien, Deimant. In: Sustainability. RePEc:gam:jsusta:v:13:y:2021:i:5:p:2692-:d:509207.

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2021Does the composition of government spending matter for government bond spreads?. (2021). Sawadogo, Pegdewende ; Minea, Alexandru ; Combes, Jean-Louis. In: Post-Print. RePEc:hal:journl:hal-02887274.

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2020Debt Is Not Free. (2020). Xiang, Yuan ; Gupta, Pranav ; Medas, Paulo ; Badia, Marialuz Moreno. In: IMF Working Papers. RePEc:imf:imfwpa:2020/001.

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2020A Simple Model of the Long-Term Interest Rate. (). Akram, Tanweer. In: Economics Working Paper Archive. RePEc:lev:wrkpap:wp_951.

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2020An Empirical Analysis of Long-Term Brazilian Interest Rates. (). Uddin, Syed ; Akram, Tanweer. In: Economics Working Paper Archive. RePEc:lev:wrkpap:wp_956.

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2020A Note Concerning Government Bond Yields. (2020). Akram, Tanweer. In: Economics Working Paper Archive. RePEc:lev:wrkpap:wp_977.

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2021Restructuring Sovereign Bonds: Holdouts, Haircuts and the Effectiveness of CACs. (2021). , Christophtrebesch ; Trebesch, Christoph ; Schumacher, Julian ; Fang, Chuck. In: IMF Economic Review. RePEc:pal:imfecr:v:69:y:2021:i:1:d:10.1057_s41308-020-00127-z.

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2021IMF-Supported Programs and Sovereign Debt Crises. (2021). Sy, Amadou ; BALIMA, HIPPOLYTE. In: IMF Economic Review. RePEc:pal:imfecr:v:69:y:2021:i:2:d:10.1057_s41308-021-00135-7.

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2021Determinants of country risk premium revisit: Evidence for emerging market and developing economies. (2021). Taguchi, Hiroyuki. In: MPRA Paper. RePEc:pra:mprapa:107078.

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2020Assessing the extent of exchange rate risk pricing in equity markets: emerging versus developed economies. (2020). Bonga-Bonga, Lumengo ; Mpoha, Salifya. In: MPRA Paper. RePEc:pra:mprapa:99597.

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2021The Impact of FX Exposure on the Firm’s Stock Market Return. (2021). Brna, Karel ; Bondarenko, Mariia. In: European Financial and Accounting Journal. RePEc:prg:jnlefa:v:2021:y:2021:i:1:id:248:p:45-70.

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2021Who do sovereign wealth funds say they are? Using structural topic modeling to delineate variegated capitalism in their official reports. (2021). Decoster, Bertrand ; Monk, Ashby ; Nowacki, Caroline E. In: Environment and Planning A. RePEc:sae:envira:v:53:y:2021:i:4:p:828-857.

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2020Causes and Effects of Budget Imbalance in Poland and Selected Countries in the World. (2020). Jarosinski, Krzysztof. In: RAIS Journal for Social Sciences. RePEc:smo:jornl1:v:4:y:2020:i:1:p:99-109.

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2021Ties that bind and blur: financialization and the evolution of sovereign debt as private contract. (2021). Datz, Giselle. In: Review of Evolutionary Political Economy. RePEc:spr:revepe:v:2:y:2021:i:3:d:10.1007_s43253-021-00058-z.

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2020Quantifying risks to sovereign market access: Methods and challenges. (2020). Jiang, XU ; Erce, Aitor ; Igraiova, Diana . In: Working Papers. RePEc:stm:wpaper:42.

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2020Uganda Oil Revenue Management. (2020). Bank, World. In: World Bank Other Operational Studies. RePEc:wbk:wboper:33899.

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2021Der Staat als langfristiger Investor. (2021). Barenthaler-Sieber, Susanne ; Peneder, Michael ; Url, Thomas ; Boheim, Michael. In: WIFO Studies. RePEc:wfo:wstudy:66819.

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2021Covid-19 and capital flows: He responses of investors to the responses of governments. (2021). Goldbach, Stefan ; Nitsch, Volker. In: Discussion Papers. RePEc:zbw:bubdps:172021.

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2021Covid-19 and capital flows: The responses of investors to the responses of governments. (2021). Nitsch, Volker ; Goldbach, Stefan. In: Darmstadt Discussion Papers in Economics. RePEc:zbw:darddp:242.

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2021Restructuring sovereign bonds: Holdouts, haircuts and the effectiveness of CACs. (2021). Trebesch, Christoph ; Schumacher, Julian ; Fang, Chuck. In: Kiel Working Papers. RePEc:zbw:ifwkwp:2175.

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Works by Michael G. Papaioannou:


YearTitleTypeCited
2016After Paris: Fiscal, Macroeconomic and Financial Implications of Global Climate Change In: IMF Staff Discussion Notes.
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paper6
1993Portfolio Performance of the SDR and Reserve Currencies: Tests Using the ArCH Methodology In: IMF Working Papers.
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paper2
1993Portfolio Performance of the SDR and Reserve Currencies: Tests Using the ARCH Methodology.(1993) In: IMF Staff Papers.
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This paper has another version. Agregated cites: 2
article
1997Financial innovations Involving the Greek Drachma In: IMF Working Papers.
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paper10
2003Determinants of the Choice of Exchange Rate Regimes in Six Central American Countries: An Empirical Analysis In: IMF Working Papers.
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paper4
2006A Primer for Risk Measurement of Bonded Debt from the Perspective of a Sovereign Debt Manager In: IMF Working Papers.
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paper2
2006Exchange Rate Risk Measurement and Management: Issues and Approaches for Firms In: IMF Working Papers.
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paper20
2006Exchange Rate Risk Measurement and Management: Issues and Approaches for Firms.(2006) In: South-Eastern Europe Journal of Economics.
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article
2008Strategic Considerations for First-Time Sovereign Bond Issuers In: IMF Working Papers.
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paper1
2010Macrofinancial Linkages of the Strategic Asset Allocation of Commodity-Based Sovereign Wealth Funds In: IMF Working Papers.
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paper4
2010Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets In: IMF Working Papers.
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paper31
Sovereign Default Risk and Private Sector Access to Capital in Emerging Markets.() In: Chapters in Economics.
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chapter
2010Managing Public Debt and Its Financial Stability Implications In: IMF Working Papers.
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paper29
2010Determinants of Emerging Market Sovereign Bond Spreads: Fundamentals vs Financial Stress In: IMF Working Papers.
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paper77
2012Sovereign Debt Restructurings 1950-2010: Literature Survey, Data, and Stylized Facts In: IMF Working Papers.
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paper68
2012Sovereign Risk and Asset and Liability Management: Conceptual Issues In: IMF Working Papers.
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paper3
2013Procyclical Behavior of Institutional Investors During the Recent Financial Crisis: Causes, Impacts, and Challenges In: IMF Working Papers.
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paper11
2013Sovereign Wealth Funds: Aspects of Governance Structures and Investment Management In: IMF Working Papers.
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paper16
2017Sovereign Debt Restructurings in Grenada: Causes, Processes, Outcomes, and Lessons Learned In: IMF Working Papers.
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paper3
2017Assessing Loss of Market Access: Conceptual and Operational Issues In: IMF Working Papers.
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paper4
2018Commodity-based Sovereign Wealth Funds: Managing Financial Flows in the Context of the Sovereign Balance Sheet In: IMF Working Papers.
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paper1
2018A Primer on Managing Sovereign Debt-Portfolio Risks In: IMF Working Papers.
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paper4
2018Belizes 2016-17 Sovereign Debt Restructuring - Third Time Lucky? In: IMF Working Papers.
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paper2
2020Belize’s 2016–17 Sovereign Debt Restructuring – Third Time Lucky?.(2020) In: Journal of Banking and Financial Economics.
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article
2019Sovereign Asset and Liability Management in Emerging Market Countries: The Case of Uruguay In: IMF Working Papers.
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paper0
2020Do Enhanced Collective Action Clauses Affect Sovereign Borrowing Costs? In: IMF Working Papers.
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paper4
1996Simple credibility tests of the ERM bands for the pound sterling and the Italian lira In: Open Economies Review.
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2013Sovereign Risk and Asset and Liability Management—Conceptual Issues In: Journal of Reviews on Global Economics.
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article5
Spillovers of Sovereign Default Risk: How Much is the Private Sector Affected? In: Chapters in Economics.
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chapter0
2021Towards Greening Finance: Integration of Environmental Factors in Risk Management & Impact of Climate Risks on Asset Portfolios In: MPRA Paper.
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2007Corporate inflation-indexed bonds in emerging market countries: recent trends and prospects In: Journal of Financial Transformation.
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2009Exchange Rate Risk Measurement and Management: Issues and Approaches for Public Debt Managers In: South-Eastern Europe Journal of Economics.
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article2
2017Sovereign Debt Restructurings in Belize: Debt Sustainability and Financial Stability Aspects In: Journal of Banking and Financial Economics.
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article1
2018Sustainability and Equity Challenges to Pension Systems: The Case of Lebanon In: Journal of Banking and Financial Economics.
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article0
2021Cryptocurrencies: Regulatory Perspectives and Implications for Investors In: Springer Books.
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chapter0
2000Maximum likelihood estimation of time-varying parameters: an application to the Athens Stock Exchange index In: Applied Economics.
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2011Sovereign debt portfolios: risks and liability management operations In: Journal of the Asia Pacific Economy.
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2007MALLIAVIN CALCULUS FOR THE ESTIMATION OF TIME-VARYING REGRESSION MODELS USED IN FINANCIAL APPLICATIONS In: International Journal of Theoretical and Applied Finance (IJTAF).
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