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Title Author/Affiliation Topic Year of Publication
Understanding the bond market and sovereign risk at a time of economic volatility Carmen Reinhart - Harvard Kennedy School Secondary Markets 2025
The 2025 U.S. Debt Limit Through the Lens of Financial Markets Luca Benzoni, Marisa Wernick - Federal Reserve Bank of Chicago Financial Analysis 2025
The Dynamics of Greenium in Italian Sovereign Green Bonds: Evidence from the Secondary Market Enrico Pulieri, Alexander Dryden - SOAS University of London Financial Analysis 2025
Testing the Liquidity Support Effects of the U.S. Treasury Buyback Program Jing Zhou - IMF Active Debt Management 2025
U.S. Treasuries and macro-enhanced trend following Regis, Glenn, Sueppel - Macrosynergy Financial Analysis 2024
Electronic trading – a boost to ESM bond market resilience Marko Mravlak, Ioannis Vazouras - European Stability Mechanism (ESM) Financial Analysis 2024
Through stormy seas: how fragile is liquidity across asset classes and time? Nihad Aliyev et al. - University of Technology Sydney (UTS) Financial Analysis 2024
Climate Change: Implications for Monetary Policy Labanya Prakash Jena , Dhruba Purkayastha - IEEFA Institute for Energy Economics and Financial Analysis Primary Markets 2024
Outages in sovereign bond markets Mark Kerssenfischer, Caspar Helmus - European Central Bank, Deutsche Bundesbank Secondary Markets 2023
Can Central banks do the unpleasant job that governments should do? Vasiliki Dimakopoulou, George Economides, Apostolis Philippopoulos, Vanghelis Vassilatos - Athens University of Economics and Business Financial Analysis 2024

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