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List of Report
Title Author/Affiliation Year of Publication
BIS international banking statistics and global liquidity indicators at end-December 2021 BIS 2022
OTC derivatives statistics at end-December 2021 BIS 2022
Adjusting ambitions: The EU’s short ‘romance’ with the debt reduction rule Martin Larch, Janis Malzubris - European Fiscal Board 2022
Duration volatility risk premia Ralph Sueppel - Systemic Risk and Systemic Value 2022
Does the war in Ukraine call for a new Next Generation EU? Andrè Sapir - Bruegel Foundation 2022
Fiscal Sustainability Report 2021 European Commission - European Commission 2022
Russian sanctions and Market Impacts InfoHub ISDA 2022
Building a robust and diversified clearing ecosystem Fabio Panetta - ECB 2022
High-frequency macroeconomic risk measures in the wake of the war in Ukraine Laurent Ferrara, Matteo Mogliani, Jean-Guillaume Sahuc - SKEMA Business School, Banque de France 2022
Traction lost: Monetary policy at very low rates Rashad Ahmed, Claudio Borio, Piti Disyatat, Boris Hofmann - U.S. Treasury Department, BIS, Bank of Thailand 2022

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