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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
EU Sovereign bond transparency regime framework – Position paper | ICMA | Primary Markets | 2023 |
Did Public Debt Assets improve the Resilience of Money Market Funds during the COVID-19 Crisis? | Peter G. Dunne, Raffaele Giuliana - Ireland Central Bank | Financial Analysis | 2022 |
International Investment Law and the Stifling Threat of Debt | David Schneiderman - University of Toronto | International and Macroprudential Regulations | 2022 |
Lower for longer – macroprudential policy issues arising from the low interest rate environment | ESRB | Financial Analysis | 2021 |
The Political Economy of Euro Area Sovereign Debt Restructuring | Friedrich Heinemann - ZEW Leibniz Centre for European Economic Research | Debt Restructuring | 2021 |
A Prudential trade-off? Leakages and interactions with Monetary Policy | Baptiste Meunier, Justine Pedrono - Banque de France | Financial Analysis | 2021 |
Money markets, central bank balance sheet and regulation | Stefano Corradin, Jens Eisenschmidt, Marie Hoerova, Tobias Linzert, Glenn Schepens, Jean-David Sigaux - ECB | Financial Analysis | 2020 |
The Fiscal Footprint of Macroprudential Policy | Ricardo Reis - LSE | International and Macroprudential Regulations | 2020 |
Post-crisis international financial regulatory reforms: a primer | BIS | International and Macroprudential Regulations | 2020 |
How has the macroeconomic imbalances procedure worked in practice to improve the resilience of the euro area? | Agnès Bénassy-Quéré, Guntram B. - Paris School of Economics, Bruegel | Institutional and Organizational Framework | 2020 |
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