Optimal debt management in a liquidity trap
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Publication:1657619
DOI10.1016/J.JEDC.2018.01.033zbMath1401.91324OpenAlexW2336021651MaRDI QIDQ1657619
Romanos Priftis, Rigas Oikonomou, Hafedh Bouakez
Publication date: 13 August 2018
Published in: Journal of Economic Dynamics \& Control (Search for Journal in Brave)
Full work available at URL: http://sites.uclouvain.be/econ/DP/IRES/2016005.pdf
monetary policyfiscal policyliquidity trapdebt maturityportfolio rebalancingdebt managementtax smoothing
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