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Title Author/Affiliation Topic Year of Publication
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
Cross-country relative duration strategies with macro factors Rushil Gholkar, Ralph Sueppel - MacroSynergy Financial Analysis 2025
Decoding climate-related risks in sovereign bond pricing: a global perspective Sofia Anyfantaki et Al. - ECB, Sveriges Riksbank; BIS, Czech National Bank, Bank of Greece Financial Analysis 2025
What Tariffs could mean for Fixed-Income Investors Hong Cheng , Preston Caldwell - Morningstar Financial Analysis 2025
Public debt bubbles, liquidity, and risk: Policy assessments based on the zero-beta interest rate Narayana R. Kocherlakota - University of Rochester Financial Analysis 2025
The Interest Rate Effects of Government Debt Maturity: Solving the Bond Conundrum Jagjit S. Chadha, Philip Turner, Fabrizio Zampolli - University of Cambridge, University of Basel, BIS Financial Analysis 2025
Surges in the shadows: Stock-flow adjustments and public debt spikes Leandro Andrian, Cesar M. Rodriguez, Oscar M. Valencia - Inter-American Development Bank, Portland State University Financial Analysis 2025
Steady amid the storm Anna Hughes - AOFM Australian Office of Financial Management Financial Analysis 2025

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