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Title Author/Affiliation Topic Year of Publication
The Risk Sensitivity of Global Liquidity flows: Heterogeneity, Evolution and drivers Stefan Avdjiev et al. - BIS, Federal Reserve Bank-New York, Banca d'Italia Financial Analysis 2025
What is the Basis Trade? Torsten Sløk - Apollo Chief Economist Financial Analysis 2025
Macro trading signal optimization: basic statistical learning methods Ralph Sueppel - Macrosynergy Financial Analysis 2025
EM sovereign bond allocation with macro risk premium scores Ralph Sueppel - Macrosynergy Financial Analysis 2025
Stock and Sovereign Returns Linkages: Time-Varying Causality and Extreme-Quantile Determinants António Afonso et al. - University of Lisbon, University of Lodz Financial Analysis 2025
Fiscal Determinants of Domestic Sovereign Bond Yields in Emerging Market and Developing Economies Manabu Nose, Jeta Menkulasi - IMF Financial Analysis 2025
Beyond Misconceptions: Why Asia-Pacific Investment Grade is a Hidden Gem Dengzhao Pan, Tal Reback - KKR Financial Analysis 2025
Sovereign bond yield and cryptocurrency returns within the frontier West African monetary zone: a dynamic contagion analysis Akwasi Adom-Dankwa et al. - Ghana Institute of Management and Public Administration Financial Analysis 2025
Debt Vulnerabilities And Financing Challenges In Emerging Markets And Developing Economies—An Overview Of Key Data IMF Financial Analysis 2025
Sovereign Bondholders and the Eurozone core-periphery Divide: from the Debt Crisis to the Quantitative Tightening Cinthia de Souzaa - University of Siena, Italy Financial Analysis 2025

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