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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
African countries are bad at issuing bonds, so debt costs more than it should: what needs to change | Misheck Mutize - University of Cape Town | Financial Analysis | 2025 |
Sovereign bonds, convenience yields, and the resurgence of supply shocks | Matthias Gnewuch, Jacopo Orlandi, Giovanni Callegari - ESM, LUISS University | Financial Analysis | 2025 |
Sovereign CoCos and debt forgiveness | Juan Carlos Hatchondo et al. - University of Western Ontario | Financial Analysis | 2025 |
Rethinking the Risk-Free Rate in a Volatile World | The Global Treasurer | Financial Analysis | 2025 |
From Safe Haven to Fault Line: How Japan’s Bond Crisis threatens Global Markets | IndraStra | Financial Analysis | 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 |
Output Gap Uncertainty, Sovereign Risk Premia and the Contingent Importance of the Bond Vigilantes | Christian R. Proaño, Jonas Dix - University of Bamberg, University of Würzburg, Germany | Financial Analysis | 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 |
A New Approach on Country Risk Monitoring | Christos E. Kountzakis, Christos Floros - University of the Aegean, Hellenic Mediterranean University | Financial Analysis | 2025 |
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