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| Title | Author/Affiliation | Topic | Year of Publication |
|---|---|---|---|
| Projecting the Interests of a Dynamic Debt Portfolio: a Financial Model | Maxime Gueuder, Sébastien Ray - Bank of France | Financial Analysis | 2026 |
| Risk spillover and network connectedness analysis of green financial and related financial markets: evidence from China | Ziwei Huang, Xiaoquan Ding, Yuankui Wang - Henan University of Science and Technology, Zhengzhou Business University | Cost and Risk | 2026 |
| Beyond the narratives: what the IDR 2025 data reveal about debt in low- and middle-income countries | Evis Rucaj, Yan Bai - World Bank | Accounting Statistics Reporting and Auditing | 2026 |
| Sloping up: the repricing of euro area yields in 2025 | Benjamin Böninghausen, Andreea Liliana Vladu - ECB | Financial Analysis | 2026 |
| Stock-Bond Diversification Offers Less Protection From Market Selloffs | Tobias Adrian, Johannes Kramer, Sheheryar Malik - IMF | Financial Analysis | 2026 |
| The Causal Effect of Debt on Interest Rates | Anthony M. Diercks et al. - Board of Governors of the Federal Reserve System | Accounting Statistics Reporting and Auditing | 2026 |
| The Adaptation Imperative: Climate Change and Sovereign Credit Risk | Matt Burkeab, Kamiar Mohaddesbc, Mehdi Raissibd - University of Sheffield, University of Cambridge, International Monetary Fund | Cost and Risk | 2026 |
| External Finance in Emerging Markets and Developing Economies | Dohan Kim, Gian Maria Milesi-Ferretti - The World Bank, The Brookings Institution | Macroeconomic Analysis | 2026 |
| How to design and implement rules-based fiscal frameworks based on debt anchors? | Martín Ardanaz - Inter-American Development Bank | Macroeconomic Analysis | 2026 |
| Under Pressure: Sovereign Debt Challenges in a Warming World | Caterina Seghini, Stéphane Dées , Annabelle de Gaye - Banque de France | Cost and Risk | 2026 |
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