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List of Document
Title Author/Affiliation Topic Year of Publication
Diversifying market and default risk in high grade sovereign bond portfolios Myles Brennan, Adam Kobor, Vidhya Rustaman - Investment Management Department of the World Bank Treasury., Investment Management Department of the World Bank Treasury., Investment Management Department of the World Bank Treasury. Active Debt Management 2011
Counterparty Risk Management - Measurement, Pricing and Regulation Eduardo Canabarro, Michael Pykhtin - Morgan Stanley, U.S. Federal Reserve Board. Active Debt Management 2014
Portfolio Construction and Risk Budgeting (5th Edition) Bernd Scherer - Chief Scientific Officer for First Private Asset Management Active Debt Management 2015
Global Financial Stability Report - Sovereigns, Funding, and Systemic Liquidity Monetary Fund International Active Debt Management 2010
Book - Collateral and Financial Plumbing Manmohan Singh - IMF. Active Debt Management 2014
The Futures Bond Basis Moorad Choudhry - Vice-president with JPMorgan Chase in London Active Debt Management 2006
Report on asset securitisation incentives Basel Committee on Banking Supervision The Joint Forum - BIS Active Debt Management 2011
Inflation Markets: A Comprehensive and Cohesive Guide Paul Canty, Markus Heider Active Debt Management 2012
Stress Testing: Approaches, Methods and Applications Akhtar Siddique, Iftekhar Hasan - Deputy Director of Enterprise Risk Analysis Division of the Comptroller of the Currency (OCC), Washington, USA, Schools of Business of Fordham University New York. Active Debt Management 2013
Introduction of a New Conceptual Framework for Government Debt Management Anja Hubig - Treasury Division at Ostsächsische Sparkasse Dresden. Active Debt Management 2013

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