Page content
Documents Archive
Search mode by keywords
Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
Equity tail risk in the treasury bond market | Dario Ruzzi and Mirco Rubin - Bank of Italy | Secondary Markets | 2020 |
Government bond term premia during the pandemic | Corrado Macchiarelli - LSE | Secondary Markets | 2020 |
Who drains Bond market liquidity in an emerging market? | Ricardo Hoyos, Yang Liu, Hui Miao, Christian Saborowski - IMF | Secondary Markets | 2020 |
A theory of Social Impact Bonds | Daniel L. Tortorice, David E. Bloom, Paige Kirby, John Regan - College of the Holy Cross and Data for Decisions, Harvard TH Chan School of Public Health. Data for Decisions | Secondary Markets | 2020 |
COVID-19 and bond market liquidity: alert, isolation and recovery | Jean-Sébastien Fontaine, Hayden Ford, Adrian Walton - Bank of Canada | Secondary Markets | 2020 |
Non-Resident Holdings of Domestic Debt in Nigeria: Internal or External Driven? | Amr Hosny - International Monetary Fund | Secondary Markets | 2020 |
US dollar funding markets during the Covid-19 crisis – the money market fund turmoil | Egemen Eren, Andreas Schrimpf, Vladyslav Sushko - BIS | Secondary Markets | 2020 |
Repo market and leverage ratio in the euro area | Luca Baldo, Filippo Pasqualone and Antonio Scalia - Bank of Italy | Secondary Markets | 2020 |
The CCP-bank nexus in the time of Covid-19 | Wenqian Huang, Előd Takáts - BIS | Secondary Markets | 2020 |
Fragility of Financial Markets: The Italian Debt Not-So-Flash Crash | Maria Flora, Roberto Renò - University of Verona | Secondary Markets | 2020 |
21-30 of 332 elements