The euro debt crisis.
The euro debt crisis.
1. Literature reviews
Frame the research question in the academic and/or policy debate;
Discuss existing empirical evidence and theoretical debate and results on the topic;
Organized by topics,not by papers
2. Methodology and tests
Data description
Modeling, in this part, a model SHOULD be set up. And at least 4 variables in the model. 10-year government bond yield and CDS spread must be used.
Result analysis. Relate the results to previous works in the literature.