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Keywords: Government bond markets
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Journal Articles
Managing and trading sovereign risk using credit derivatives and government markets
Available to Purchase
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2013) 14 (5): 453–467.
Published: 04 November 2013
... the primary issuance of a new government bond. The on-going sovereign debt crisis increased the need for proper sovereign risk monitoring. Using information from both sovereign credit default swap (CDS) and government bond markets enables asset managers and traders alike to get a better picture...
