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Title Author/Affiliation Topic Year of Publication
Could a Gilt Market Shock derail the Economy in 2026? NIESR National Institute of Economic and Social Research Cost and Risk 2026
Retail investors’ participation in the gilt market Sarah Munson, Callum Ashworth - Bank Underground Financial Analysis 2026
Outlook 2026: Convergence and readjustment in euro area sovereign bond markets Edoardo Reviglio - LUISS Guido Carli Financial Analysis 2026
The growth of government debt and its consequences Joe Brusuelas - RSM US LLP Cost and Risk 2026
Sovereign default and the decline in interest rates Francesco Molteni - University of California Financial Analysis 2026
The Determinants of Green Bond Issuance in Indonesia: An Analysis of Sustainable Financial Instruments Endri Endri, Irwan Mangara Harahap, Anton Hindardjo - Universitas Mercu Buana Primary Markets 2025
Russia’s 2026 budget: mounting financial challenges and economic stagnation Iwona Wiśniewska - Centre for Eastern Studies (OSW) Macroeconomic Analysis 2025
Why care about Debt-to-Gdp Jonathan B. Berk, Jules H. van Binsbergen - Stanford University, University of Pennsylvania Accounting Statistics Reporting and Auditing 2026
Sovereign default and the decline in interest rates Max Miller, James D. Paron, Jessica A. Wachter - Harvard Business School, Stanford Graduate School of Business, Wharton University of Pennsylvania Financial Analysis 2025
The future of public debt management in an era of digital finance Ramil Abbasov - Modern Diplomacy Cost and Risk 2025

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