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Title | Author/Affiliation | Topic | Year of Publication |
---|---|---|---|
A hidden dragon: China’s spillovers on the financial markets of emerging economies | Rodolfo Campos, Ana-Simona Manu , Luis Molina Sánchez , Marta Suárez-Varela - Bank of Spain, ECB | Cost and Risk | 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 |
Climate Risk and Sovereign Debt: Country-Level Exposures and Scarcity Effects in Green Bonds | Silvia Romagnoli, Amia Santini - University of Bologna | Financial Analysis | 2024 |
Derivatives, Margining and Risk in Emerging Market and Developing Economies | ISDA | Financial Analysis | 2024 |
Has Treasury Market Liquidity improved in 2024? | Michael Fleming - Federal Reserve Bank of New York | Financial Analysis | 2024 |
Financial stability considerations in the conduct of monetary policy | Paul Bochmann, Daniel Dieckelmann, Stephan Fahr, Josef Ruzicka - European Central Bank, Nazarbayev University | Economic Policies | 2023 |
Examining US monetary spillover to Indonesian local currency government bonds in volatile periods | Muhammad Fajar Nugraha - Ministry of Finance Indonesia | Secondary Markets | 2023 |
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 |
Progress on Global Transition to RFRs in Derivatives Markets | ISDA | Financial Analysis | 2023 |
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