Sovereign risk
Review of 2010
Crisis? Oh, that crisis...
Merkel's EU bailout plan threatens Basel’s sovereign zero risk weights
Discussions are already under way behind closed doors, knock-on effects for bank capital could be substantial
Sovereign two-way CSAs would probably resemble one-way posting, says Dutch DMO
High thresholds would reduce credit and funding benefits of two-way CSAs for banks, DSTA head says
Quant Congress Europe: Credit models linked to 'vicious circles'
Model risk comes from overuse of credit measures, as well as poorly constructed models, conference hears
Banking crisis in Ireland heightens fears of sovereign default
When the luck of the Irish ran out...
The tail that wags the dog
The tail that wags the dog
Sovereign debt crisis hits liquidity
Market Analysis: How to measure liquidity
Risk interdealer rankings 2010: Dealers
A game-changing year
'An explosion of sovereign debt'
'An explosion of sovereign debt'
Sovereign CDSs as a risk indicator
Sovereign CDSs as a risk indicator
Eurozone a 'slow-motion train wreck' – senior economist
Larry Brainard, chief economist at political risk consultancy Trusted Sources, argues that until Eurozone policymakers shift the emphasis of remedial action from sovereign debt and onto the banking sector, the region will continue to struggle.