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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
The Euro Area Bond Market | Philip R. Lane - ECB | Financial Analysis | 2025 |
Sovereign debt markets: post-pandemic developments and challenges | Paolo Angelini - Bank of Italy | Economic Policies | 2025 |
Is the Risk-Free Rate Still Risk-Free? And are there any viable alternatives? | Financial Fables | Cost and Risk | 2025 |
Argentina: Examples and alternatives for understanding the debt crisis in the South [Part 5] | Maxime Perriot - CADTM | Debt Crisis | 2025 |
Sub-Saharan Africa and Sri Lanka: Examples for understanding the debt crisis in the South [Part 4] | Maxime Perriot - CADTM | Debt Crisis | 2025 |
Fostering Core Government Bond Market Resilience – Analysis | Tobias Adrian, Kleopatra Nikolaou, Jason Wu - IMF | Financial Analysis | 2025 |
Understanding the fiscal drivers of French sovereign bond yields | Eléonore Herfurth, Hugo Le Damany - Axa Investment Managers | Financial Analysis | 2025 |
Retail investors and sovereign debt: Why now and what next? | Sam Foxall, Luca Policino, Sébastien Boitreaud, - OECD, World Bank | Primary Markets | 2025 |
The German and Italian government bond markets: The role of banks versus non-banks | Puriya Abbassi et Al. - Deutsche Bundesbank, Banca d’Italia | Financial Analysis | 2025 |
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 |
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