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1

International, Conservation, ed. The Debt-for-nature exchange. Conservation International, 1989.

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2

Fund, International Monetary. Fiscal dominance, debt, and exchange rates. International Monetary Fund, Fiscal Affairs Dept., 1987.

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3

author, Kanczuk Fabio 1969, and Harvard Business School, eds. Debt redemption, reserve accumulation, and exchange-rate regimes. Harvard Business School, 2014.

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4

C, Mills Terry, and Wood Geoffrey E, eds. Debt management and interest rates: The British stock conversion of 1932. Centre for Banking & International Finance, City University, 1985.

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5

Grosse, Robert E. The transfer problem and Latin American debt. Institute of Interamerican Studies, Graduate School of International Studies, University of Miami, 1985.

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6

Jajah, Samir. Exchange rate policy and debt crises in emerging economies. International Monetary Fund, IMF Institute, 2003.

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7

luxembourgeoise, Kredietbank S. A. Listing of debt securities on the Luxwmbourg stock exchange. Kredietbank S.A. luxembourgeoise, 1985.

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8

Claessens, Stijn. The optimal currency composition of external debt. International Bank for Reconstruction and Development, 1988.

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9

Branch, Canada Library of Parliament Research. The international debt problem and exchange rate instability: Policy aspects. Library of Parliament, Research Branch, 1985.

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10

Wijnbergen, Sweder van. Growth, external debt, and the real exchange rate in Mexico. Latin America and the Caribbean Country Dept. II, World Bank, 1989.

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11

Pitt, Alexander. Sustaining fixed exchange rates: A model with debt and institutions. International Monetary Fund, African Department, 2001.

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12

Artis, Michael J. Deer hunting: Misalignment, debt accumulation and desired equilibrium exchange rates. International Monetary Fund, 1993.

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13

Detragiache, Enrica. Debt restructuring with multiple creditors and the role of exchange offers. Banca d'Italia, 1995.

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14

Organisation for Economic Co-operation and Development. Development Centre., ed. Debt, deficits, and exchange rates: Essays on financial interdependence and development. E. Elgar, 1994.

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15

Liu, Yingqiu. Li lü, zhai wu lü, hui lü yu jing ji zeng zhang: Interest rate, debt ratio and exchange rate in economic growth of China. Zhongguo she hui ke xue chu ban she, 2010.

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16

Gruben, William C. Is foreign-currency indexed debt a commitment technology?: Some evidence from Brazil and Mexico. Federal Reserve Bank of Dallas, 1999.

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17

Velasco, Andrés. Monetary policy and the currency denomination of debt: A tale of two equilibria. National Bureau of Economic Research, 2004.

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18

Kroner, Ken. Improving the currency composition of external debt: Applications to Indonesia and Turkey. International Economics Dept., World Bank, 1989.

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19

Mello, Luiz de. Is foreign debt portfolio management efficient in emerging economies? International Monetary Fund, Fiscal Affairs Department, 2001.

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20

Consultancy, IBS Research and, and Istanbul Menkul Kiymetler Borsasi, eds. From imperial debt to global offerings: The rise of the Istanbul Stock Exchange. Istanbul Stock Exchange, 1995.

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21

Levy, Haim. The management of foreign exchange reserves with balance₋of₋payments and external debt considerations: The case of Israel. Maurice Falk Institute for Economic Research in Israel, 1998.

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22

Henning, C. Randall. The Exchange Stabilization Fund: Slush money or war chest? Institute for International Economics, 1999.

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23

Johnson, David. The currency denomination of long term debt in the Canadian corporate sector: An empirical analysis. School of Business and Economics, Wilfrid Laurier University, 1986.

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24

Mulder, Christian B. Foreign currency credit ratings for emerging market economies. International Monetary Fund, Policy Development and Review Department, 2001.

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25

Jeanne, Olivier. Why do emerging market economies borrow foreign currency? International Monetary Fund, Research Department, 2003.

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26

Dornbusch, Rudiger. World economic problems for the summit: Co-ordination, debt and the exchange rate system. Centre for International Studies, University of Toronto, 1988.

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27

Reitmaier, Jürgen. Republic of Mozambique: Selected issues and statistical appendix. International Monetary Fund, 2001.

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28

Allayannis, George. Capital structure and financial risk: Evidence from foreign debt use in East Asia. World Bank, Development Research Group, Finance, 2001.

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29

International Monetary Fund. Research Department. World Economic Outlook, May 1998: Financial Crises: Causes and Indicators. International Monetary Fund, 1998.

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30

P, Dooley Michael. Is the debt crisis history?: Recent private capital inflows to developing countries. World Bank, International Economics Dept., Debt and International Finance Division, 1994.

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31

Caballero, Ricardo J. Dollarization of liabilities: Underinsurance and domestic financial underdevelopment. National Bureau of Economic Research, 2000.

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32

United, States Congress House Committee on Banking Finance and Urban Affairs. Review of Treasury Department's conduct of international financial policy: Hearing before the Committee on Banking, Finance, and Urban Affairs, house of Representatives, One Hundred First Congress, second session, August 14, 1990. U.S. G.P.O., 1990.

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33

J. A. H. de Beaufort Wijnholds. Reserve adequacy in emerging market economies. International Monetary Fund, Office of Executive Directors, 2001.

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34

Friedman, Benjamin M. Changing effects of monetary policy on real economic activity. National Bureau of Economic Research, 1990.

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35

Fund, International Monetary. World economic outlook: Public debt in emerging markets. International Monetary Fund, 2003.

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36

Thomas, Stephen. Vehicle currencies, bank debt and the asset market approach to exchange rate determination: The U.S. dollar 1980-85. University of Southampton, Dept. of Economics, 1987.

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37

Eichengreen, Barry J. Currency mismatched, debt intolerance and original sin: Why they are not the same and why it matters. National Bureau of Economic Research, 2003.

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38

Bolivia. Exchange of Notes Between the UK and Bolivia Concerning Certain Commercial Debts (the UK/Bolivia Debt Agreement No.7 (1998)),La Paz,16 September 1999. Stationery Office, 2000.

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39

Akbar, Farhan. An analysis of exchange rate risk exposure related to public debt portfolio of Pakistan: Beyond Delta-Normal VAR approach. State Bank of Pakistan, 2009.

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40

Choi, Woon Gyu. Liability dollarization and the bank balance sheet channel. International Monetary Fund, IMF Institute, 2002.

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41

Pratap, Sangeeta. Firm dynamics, investment, and debt portfolio: Balance sheet effects of the Mexican crisis of 1994. National Bureau of Economic Research, 2004.

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42

Pratap, Sangeeta. Firm dynamics, investment, and debt portfolio: Balance sheet effects of the mexican crisis of 1994. National Bureau of Economic Research, 2004.

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43

Guerson, Alejandro D., Trevor Serge Coleridge Alleyne, and David A. Grigorian. Jamaica Debt Exchange. International Monetary Fund, 2012.

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44

Guerson, Alejandro D., Trevor Serge Coleridge Alleyne, and David A. Grigorian. Jamaica Debt Exchange. International Monetary Fund, 2012.

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45

Guerson, Alejandro D., Trevor Serge Coleridge Alleyne, and David A. Grigorian. Jamaica Debt Exchange. International Monetary Fund, 2012.

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46

Reisen, Helmut. Debt, Deficits and Exchange Rates. Elgar Publishing Limited, Edward, 1994.

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47

Exchange Overthingking Quote Debt Tracker. Independently Published, 2021.

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48

Zloch-Christy, Iliana. Debt Problems of Eastern Europe. Cambridge University Press, 2011.

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49

Zloch-Christy, Iliana. Debt Problems of Eastern Europe. University of Cambridge ESOL Examinations, 2021.

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50

Gudmundsson, Tryggvi, and Balazs Csonto. Destabilizing Stability? Exchange Rate Arrangements and Foreign Currency Debt. International Monetary Fund, 2020.

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