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Title Author/Affiliation Topic Year of Publication
Sovereign credit and exchange rate risks: evidence from Asia-Pacific local currency bonds Mikhail Chernov, Drew Creal, Peter Hördahl - University of California Los Angeles (UCLA), University of Notre Dame, Bank for International Settlements Financial Analysis 2021
Revisiting the Stabilization Role of Public Banks: Public Debt Matters H. Elif Ture - International Monetary Fund Financial Analysis 2021
Financial Spillover and Contagion Risks in the Euro Area in 2007-2019 Roman Garcia, Dimitri Lorenzani, Daniel Monteiro, Francesco Perticari, Bořek Vašíček, Lukas Vogel - European Commission Financial Analysis 2021
The Impact of r-g on the Euro-Area Government Spending Multiplier Mario Di Serio, Matteo Fragetta, Giovanni Melina - Università degli Studi di Salerno, International Monetary Fund Financial Analysis 2021
The Empirics of Long-Term Mexican Government Bond Yields Tanweer Akram, Syed Al-Helal Uddin - Wells Fargo, College of Saint Benedict and Saint John’s University Financial Analysis 2021
A Prudential trade-off? Leakages and interactions with Monetary Policy Baptiste Meunier, Justine Pedrono - Banque de France Financial Analysis 2021
Answering the Queen: Machine learning and financial crises Jérémy Fouliard, Michael Howell , Hélène Rey - BIS Financial Analysis 2021
Supply and demand shifts of shorts before Fed announcements during QE1–QE3 Thomas McInish, Christopher J. Neely, and Jade Planchon - Federal Reserve Bank of St. Louis Financial Analysis 2021
How do financial markets react to monetary policy signals? Carlo Altavilla, Refet S. Gürkaynak, Roberto Motto and Giuseppe Ragusa - ECB, Bilkent University, University of Pisa Financial Analysis 2021
Sovereign CDS Dealers as market stabilizers John Mullin, Bruno Sultanum - Federal Reserve Bank of Richmond Financial Analysis 2021

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