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| Title | Author/Affiliation | Topic | Year of Publication |
|---|---|---|---|
| Building portfolios of sovereign securities with decreasing carbon footprints | Gong Cheng, Eric Jondeau, Benoit Mojon - BIS, University of Lausanne | Financial Analysis | 2022 |
| The Eurosystem’s bond market share at an all-time high: what does it mean for repo markets? | Tomás Carrera de Souza and Tom Hudepohl - The Netherlands' Central Bank | Financial Analysis | 2022 |
| Capital flows and monetary policy trade-offs in emerging market economies | Paolo Cavallino and Boris Hofmann - BIS | Financial Analysis | 2022 |
| Risk capacity, portfolio choice and exchange rates | Boris Hofmann, Ilhyock Shim and Hyun Song Shin - BIS | Financial Analysis | 2022 |
| Treasury supply shocks and the term structure of interest rates in the UK | Andras Lengyel - University of Amsterdam | Financial Analysis | 2022 |
| Interest Rate Uncertainty and Sovereign Default Risk | Alok Johri, Shahed Khan, Cesar Sosa-Padilla - McMaster University, University of Western Ontario, University of Notre Dame and NBER | Financial Analysis | 2022 |
| The Impact of COVID-19 Pandemic on Government Bond Yields | Yang Zhou, Deimantė Teresienė, Greta Keliuotytė-Staniulėnienė, Rasa Kanapickiene, Rebecca Kechen Dong Ahmad Kaab Omeir - Lingnan Normal University, Vilnius University, University of Technology Sydney | Financial Analysis | 2022 |
| What drives repo haircuts? Evidence from the UK market | Christian Julliard, Gábor Pintér, Karamfil Todorov, Kathy Yuan - Bank of England | Financial Analysis | 2022 |
| Endogenous market development for government securities in lower-income economies | Tadashi Endo - Nagoya University | Financial Analysis | 2021 |
| Long-Term Debt Sustainability in Emerging Market Economies: A Counterfactual Analysis | Ugo Panizza - The Graduate Institute Geneva | Financial Analysis | 2022 |
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