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Title Author/Affiliation Topic Year of Publication
GC Pooling: buy-side access, volume growth and deepening liquidity as the ECB changes course Josh Galper - Finadium Financial Analysis 2026
Credit default swaps: Analysis and policies Joana Baptista et al. - European Systemic Risk Board, Ca' Foscari University of Venice, Centre for Economic Policy Research Financial Analysis 2026
Modelling the Sovereign Debt Strategy: A Practical Primer Nicolas Audet, Adam Epp, Jeffrey Gao, Joe Ning - Bank of Canada Financial Analysis 2025
Sovereign loan guarantees and financial stability Ivan de Lorenzo Buratta, Tiago Pinheiro - Prometeia, Banco de Portugal Financial Analysis 2026
ECB Council Members’ Objectives and Public Debt at Home – Evidence from an AI-Based Textual Analysis Friedrich Heinemann, Jan Kemper - University of Heidelberg, ZEW Mannheim Financial Analysis 2026
The interplay of public and private debts Maxime Fajeau - University of Lille Financial Analysis 2026
Projecting the Interests of a Dynamic Debt Portfolio: a Financial Model Maxime Gueuder, Sébastien Ray - Bank of France Financial Analysis 2026
Sloping up: the repricing of euro area yields in 2025 Benjamin Böninghausen, Andreea Liliana Vladu - ECB Financial Analysis 2026
Stock-Bond Diversification Offers Less Protection From Market Selloffs Tobias Adrian, Johannes Kramer, Sheheryar Malik - IMF Financial Analysis 2026
Climate change risk index and municipal bond disclosures of United States drinking water utilities Zia J. Lyle, Jeanne M. VanBriesen, Constantine Samaras - Carnegie Mellon University Financial Analysis 2026

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