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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
How to Sell Public Debt in Uncertain Times | Harold L. Cole, Daniel Neuhann, Guillermo Ordonez - University of Pennsylvania, NBER, University of Texas at Austin | Primary Markets | 2025 |
Stock and Sovereign Returns Linkages: Time-Varying Causality and Extreme-Quantile Determinants | António Afonso et al. - University of Lisbon, University of Lodz | Financial Analysis | 2025 |
Beyond Misconceptions: Why Asia-Pacific Investment Grade is a Hidden Gem | Dengzhao Pan, Tal Reback - KKR | Financial Analysis | 2025 |
African Financing Stability Mechanism | African Development Bank Group | Multilateral Financing | 2025 |
Sovereign bond yield and cryptocurrency returns within the frontier West African monetary zone: a dynamic contagion analysis | Akwasi Adom-Dankwa et al. - Ghana Institute of Management and Public Administration | Financial Analysis | 2025 |
Investment Outlook: Challenging times in government bond markets | Daniel Casali - Evelyn Partners | Financial Analysis | 2025 |
Why do government bond yields drift when news is on its way? | Danny Walker et al. - Bank Underground | Financial Analysis | 2025 |
New fiscal transparency index and public debt borrowing costs | Theo Metz - University of Strasbourg | Accounting Statistics Reporting and Auditing | 2024 |
Bond supply, yield drifts and liquidity provision before macroeconomic announcements | Dong Lou et al. - HKUST & LSE | Macroeconomic Analysis | 2024 |
Stable gilts and stable prices: assessing the Bank of England’s response to the LDI crisis | Nicolò Bandera, Jacob Stevens - Bank Underground | Financial Analysis | 2024 |
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