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Foreword to the special issue on: the economics of credit rating agencies |
Why credit rating agencies exist |
Reconsidering corporate ratings |
ESG Rating in investment risk analysis of companies listed on the public market in Poland |
The Risk–Return binomial after rating changes |
Market impact under a new regulatory regime: Credit Rating Agencies in Europe |
Procyclicality and path dependence of sovereign credit ratings: the example of Europe |
European rating actions, investor reaction, and bond spread volatility |
The damaging bias of sovereign ratings |