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Title Author/Affiliation Topic Year of Publication
Stable gilts and stable prices: assessing the Bank of England’s response to the LDI crisis Nicolò Bandera, Jacob Stevens - Bank Underground Financial Analysis 2024
Electronic trading – a boost to ESM bond market resilience Marko Mravlak, Ioannis Vazouras - European Stability Mechanism (ESM) Financial Analysis 2024
Through stormy seas: how fragile is liquidity across asset classes and time? Nihad Aliyev et al. - University of Technology Sydney (UTS) Financial Analysis 2024
Inelastic Demand Meets Optimal Supply of Risky Sovereign Bonds Matias Moretti et al - University of Rochester Financial Analysis 2024
Climate Risk and Sovereign Debt: Country-Level Exposures and Scarcity Effects in Green Bonds Silvia Romagnoli, Amia Santini - University of Bologna Financial Analysis 2024
Sovereign Climate-Contingent Convertible Bond (S-CloCo) Chris Cormack, Andrea Macrina - UK Centre for Greening Finance and Investment, University College London Financial Analysis 2024
Impact of Sovereign Debt Maturity on Fiscal Sustainability Antonio Afonso et al. - ISEG - Lisbon School of Economics and Management, Universidade de Lisboa Financial Analysis 2024
A Commentary on US Sovereign Debt Persistence and Nonlinear Fiscal Adjustment Vladimir Andric, Dusko Bodroza, Mihajlo Djukic - Institute of Economic Science, Belgrade Financial Analysis 2024
Derivatives, Margining and Risk in Emerging Market and Developing Economies ISDA Financial Analysis 2024
The role of borrowing in the rise of gilt yields during the Truss episode and some possible implications Sushil Wadhwani - CEPR Financial Analysis 2024

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