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Title Author/Affiliation Topic Year of Publication
Exchange Rates and Government Debt Federico Favaretto - Bocconi University Financial Analysis 2023
French sovereign debt liquidity: main factors, recent developments and resilience during the Covid crisis Rossi Arthur, Lecomte Ernest, Legrand Théophile, Nguyen Benoît - Banque de France Financial Analysis 2023
Sovereign risk and bank lending: evidence from 1999 Turkish earthquake Yusuf Soner Başkaya, Bryan Hardy, Sebnem Kalemli-Ozcan and Vivian Yue - University of Glasgow, BIS, University of Maryland Financial Analysis 2023
Sovereign Bond Yield differentials across Europe: A structural entropy perspective Thierry Warin, Aleksandar Stojkov - HEC Montreal, Ss. Cyril and Methodius University Financial Analysis 2023
Euro area sovereign bond risk premia before and during the Covid-19 pandemic Stefano Corradin, Bernd Schwaab - ECB Financial Analysis 2023
Progress on Global Transition to RFRs in Derivatives Markets ISDA Financial Analysis 2023
Sovereign Debt to GDP and Sovereign Bond Yields: Evidence from India Dr Shariq Ahmad Bhat, Showkat Busru - Pondicherry University Financial Analysis 2023
Chinese Yuan Interest Rate Swap Yields Tanweer Akram, Khawaja Mamun - Citibank, Sacred Heart University Financial Analysis 2023
Sovereign risk premia and global macroeconomic conditions Sandro C. Andrade , Adelphe Ekponon , Alexandre Jeanneret - University of Miami, University of Liverpool, University of New South Wales Financial Analysis 2023
Pricing of climate risks in financial markets: a summary of the literature Egemen Eren, Floortje Merten, Niek Verhoeven - BIS, Netherlands Bank Financial Analysis 2022

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