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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
The potential impact of broader central clearing on dealer balance sheet capacity: a case study of UK gilt and gilt repo markets. | The Bank of England | Cost and Risk | 2023 |
The Sovereign-Bank Nexus in Emerging Markets in the Wake of the COVID-19 Pandemic | Andrea Deghi, Salih Fendoglu, Tara Iyer, Hamid R Tabarraei. Yizhi Xu, Mustafa Yenice - International Monetary Fund | Financial Analysis | 2022 |
Revisiting the Stabilization Role of Public Banks: Public Debt Matters | H. Elif Ture - International Monetary Fund | Financial Analysis | 2021 |
A Prudential trade-off? Leakages and interactions with Monetary Policy | Baptiste Meunier, Justine Pedrono - Banque de France | Financial Analysis | 2021 |
Sovereign CDS Dealers as market stabilizers | John Mullin, Bruno Sultanum - Federal Reserve Bank of Richmond | Financial Analysis | 2021 |
On the origin of systemic risk | Mattia Montagna, Gabriele Torri, Giovanni Covi - ECB | Financial Analysis | 2020 |
The effect of possible EU diversification requirements on the risk of banks’ sovereign bond portfolios | Ben Craig, Margherita Giuzio, Sandra Paterlini - Federal Reserve Bank of Cleveland, European Central Bank, University of Trento | Financial Analysis | 2020 |
The Shift from Active to Passive Investing: Potential Risks to Financial Stability? | Kenechukwu Anadu, Mathias Kruttli, Patrick McCabe, Emilio Osambela, and Chae Hee Shin - US Federal Reserve System | Financial Analysis | 2018 |
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