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Title Author/Affiliation Year of Publication
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
European Economic Forecast. Winter 2022 (Interim) European Commission - European Commission 2022
Enhanced Surveillance Report – Greece, 2022 European Commission - European Commission 2022
Supporting Egypt’s Inaugural Green Bond Issuance World Bank 2022
BIS Quarterly Review, March 2022 BIS 2022
US Treasury Clearing survey ISDA 2022
European Developed Sovereign Rating Trends 2022: Recovery depends on Reform Remy Carasse, Frank Gill, Marko Mrsnik, Louis Portail - S&P 2022
What is Next? Public Debt and Economic Growth in Greece George Economides, Apostolis Philippopoulos - Athens University of Economics and Business 2022
Securities Markets Risk Outlook Report – February 2022 Central Bank of Ireland 2022

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