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Title Author/Affiliation Topic Year of Publication
Transparency and Dealer Behavior - The Case of MiFID II and the Bund Market Konrad Lucke - Leibniz Institute for Financial Research SAFE Financial Analysis 2026
Geopolitical Energy Shocks, Safe Havens, and Sovereign Bond Markets Evidence from the 2026 U.S.–Israeli Conflict with Iran T. Shawn Strother - Southern New Hampshire University Financial Analysis 2026
Analysis of Global Financial Connections and Information Flow Dynamics using Transfer Entropy and Independent Component Analysis Utku Kubilay Çınar, Gülhayat Gölbaşı Şimşe - Yildiz Technical University Financial Analysis 2026
Bond–Stock Price Comovements: Evidence from the 1960s to the 1990s Willem Thorbecke - Research Institute of Economy, Trade and Industry (Japan) Financial Analysis 2026
Why liquidity evaporates when it is most needed Giovanni Cespa, Xavier Vives - Bayes Business School, IESE Business School Financial Analysis 2026
Understanding hedge fund leverage targeting and fire sales Will Kerry, Ulf Lewrick, Christian Schmieder - Financial Stability Board (FSB), BIS Financial Analysis 2026
Multiscale Nonlinear Forecasting of Government Bond Yields and Volatility via a Hybrid VMD–LSTM Framework Yingjie Xu et al. - University of Jinan Financial Analysis 2026
Better Debt Shock Absorbers for Poor Countries: A Proposal Nancy Lee et al. - Center for Global Development Financial Analysis 2026
Climate-related disasters can push up the cost of debt Sofia Anyfantaki et al. - ECB, Sverige Riksbank, Central bank of Chile, Czech National Bank Financial Analysis 2026
Are Government Bonds safe in times of war and pandemic? Zhengyang Jiang et al. - Northwestern University/NBER Financial Analysis 2026

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