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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
Why UK gilt yields have risen since the US election and what the government might do | Sushil Wadhwani - Former PGIM Wadhwani | Financial Analysis | 2025 |
Are bad governments a threat to sovereign defaults? The effects of political risk on debt sustainability | Samantha Ajovalasit, Andrea Consiglio, Giovanni Pagliardi Stavros A. Zenios - Bruegel | Financial Analysis | 2025 |
A Debt Crisis with Strategic Investors: Changes in Demand and the Role of Market Power | Ricardo Alves Monteiro - IMF | Debt Crisis | 2025 |
Dealers, information and liquidity provision in safe assets | Robert Czech, Win Monroe - Bank of England, Imperial College Business School | Secondary Markets | 2025 |
The Scalability of Credit Enhanced EM Climate Debt | Peter Lindner, Ananthakrishnan Prasad, Jean-Marie Masse - IMF, EuroGreenCapital | Financial Analysis | 2025 |
Climate-linked bonds | Dirk Broeders, Daniel Dimitrov, Niek Verhoeven - ECB | Primary Markets | 2024 |
The Global Trend of Positive Stock/Bond Correlation | Maria Nikitanova, Dane Smith - State Streets Global Advisors | Financial Analysis | 2024 |
Portfolio rebalancing: investors’ safe asset substitution patterns | Tsvetelina Nenova - BIS | Financial Analysis | 2025 |
U.S. Treasuries and macro-enhanced trend following | Regis, Glenn, Sueppel - Macrosynergy | Financial Analysis | 2024 |
A hidden dragon: China’s spillovers on the financial markets of emerging economies | Rodolfo Campos et al. - Bank of Spain | Cost and Risk | 2024 |
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