The impact of fiscal policy on government bond spreads in emerging markets.Published in:Financial Theory & Practice, 2011, v. 35, n. 4, p. 385By:Žigman, Ante;Cota, BorisPublication type:Article
In uncertainty we trust: a median voter model with risk aversion.Published in:Financial Theory & Practice, 2011, v. 35, n. 4, p. 465By:Yakovlev, Pavel A.Publication type:Article
Skrivena javna potrošnja--Porezni izdaci: potreba ili udvaranje biračima?Published in:2011By:Šulentić, MarinPublication type:Book Review
Testing the sustainability of the Croatian public debt with dynamic models.Published in:Financial Theory & Practice, 2011, v. 35, n. 4, p. 413By:Sopek, PetarPublication type:Article
Local government and utility firms' debts.Published in:Financial Theory & Practice, 2011, v. 35, n. 4, p. 443By:Primorac, MarkoPublication type:Article