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Title Author/Affiliation Topic Year of Publication
Repo dealer-driven bond mispricing Carlos Cañón Salazar, Eddie Gerba, Jozef Barunik - The Bank of England, Charles University Financial Analysis 2025
Bond-Stock Comovements John Y. Campbell, Carolin Pflueger, Luis M. Viceira - Harvard University, University of Chicago Financial Analysis 2025
Public Debt, Oil Rent, and Financial Development in MENA Countries: A Fractional Response Model Approach (FRM) Mashael Fahad Alkhurayji, Hamed Mohammed Alhoshan - King Saud University Financial Analysis 2025
Global Debt Remains Above 235% of World GDP Vitor Gaspar, Carlos Eduardo Goncalves, Marcos Poplawski-Ribeiro - IMF Financial Analysis 2025
Why Are Borrowing Costs So High for Developing Countries Ishac Diwan, Brendan Harnoys-Vannier - Finance for Development Lab Financial Analysis 2025
Dealer constraints and government bond markets: A transatlantic perspective Falk Bräuning, Martin Scheicher, Hillary Stein - Federal Reserve Bank of Boston, European Central Bank (ECB) Financial Analysis 2025
Who are the “bond vigilantes” on sovereign debt markets? Pablo Anaya Longaric et al. - ECB Financial Analysis 2025
The Impact of Geopolitical Risk on the Connectedness Dynamics among Sovereign Bonds Mustafa Almabrouk Abdalla Alfughi, Asil Azimli - Cyprus International University Financial Analysis 2025
The Impact of Debt and Deficits on Long-Term Interest Rates in the US Davide Furceri, Carlos Goncalves, Hongchi Li - IMF Financial Analysis 2025
Estimating emerging markets sovereign risk premia Ralph Sueppel - MacroSynergy Financial Analysis 2025

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