Header and navigation menu

Page content

Documents Archive

Search mode by keywords

List of Document
Title Author/Affiliation Topic Year of Publication
Portfolio rebalancing: investors’ safe asset substitution patterns Tsvetelina Nenova - BIS Financial Analysis 2025
U.S. Treasuries and macro-enhanced trend following Regis, Glenn, Sueppel - Macrosynergy Financial Analysis 2024
Market Volatility vs. Economic Growth: The Role of Cognitive Bias Neha Parashar et al. - Deemed University Financial Analysis 2024
Optimal Monetary and Fiscal Policies to Maximise Non-Parallel Risk Premia in Sovereign Bond Markets Sanveer Hariparsad, Eben Maré - University of Pretoria Financial Analysis 2024
Decentralised dealers? Examining liquidity provision in decentralised exchanges Matteo Aquilina et al. - BIS Financial Analysis 2024
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

71-80 of 496 elements