Bonds or credits? Risk management and sovereign lending in the Euromarkets
Evidence from Mexico, 1973–1982
Bibliographic Data
| ID | 17820218 |
|---|---|
| Authors | Sebastian Alvarez (0000-0003-1077-9882, Adolfo Ibáñez University, corresponding author), Marco Molteni (0000-0002-2791-9506, University of Turin) |
| Year | 2026 |
| Pages | 1-38 |
| Publication date | 2026-04-24 |
| Peer Reviewed | Yes |
| Open Access | No |
| Type | ARTICLE |
| Venue | Economic History of Developing Regions (JOURNAL) |
| Journal identifiers | ISSN: 2078-0389 • E-ISSN: 2078-0397 |
| Publisher | Taylor & Francis (PUBLISHER • GB) |
| DOI | 10.1080/20780389.2026.2638378 |
| OpenAlex | W7155525067 |
| Language | EN |
| References cited | 30 |
Bond · Credit risk · Risk management · Sovereign wealth fund · Sovereignty · Banking stability, regulation, efficiency · Credit Risk and Financial Regulations · Global Financial Crisis and Policies
Capitals of Capital
Financial Intermediation and Delegated Monitoring
Commercial Banking from Oil Crisis to Debt Crisis
Latin American Banks and Euromarkets
World Maps for the Debt Paradigm
External finance and commercial banks. Their role in Latin America’s capacity to import between 1951 and 1975
A Fatal Flaw
The Origins of the Eurodollar Market in London
Rogue Trading at Lloyds Bank International, 1974
Politics and international debt
Summer in the City
Bonds and Brands
| Citation velocity | historical |
|---|---|
| Highly cited | No |