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List of Report
Title Author/Affiliation Year of Publication
BIS global liquidity indicators at end-June 2020 BIS 2020
Bank of Russia Monetary Policy Guidelines for 2021–2023 Bank of Russia 2020
Capital Markets Union, Key Performance Indicators – Third Edition October 2020 AFME 2020
Country Default Spreads and Risk Premiums – July 2020 Aswath Damodaran - stern.nyu 2020
Egypt’s maiden green bond – a first for the Middle East and Africa Gregory Smith - Bond Vigilantes 2020
Borrowing costs after debt relief Valentin Lang, David Mihalyi, Andrea Presbitero - University of Mannheim, Natural Resource Governance Institute, Johns Hopkins University 2020
Economic consequences of Covid-19: A counterfactual multi-country analysis Alexander Chudik, Kamiar Mohaddes, M. Hashem Pesaran, Mehdi Raissi, Alessandro Rebucci - Federal Reserve Bank of Dallas, University of Cambridge, Economics at the University of Southern California, IMF, Johns Hopkins Carey Business School 2020
Managing post-Covid sovereign debts in the euro area Stefano Micossi - Assonime 2020
The COVID-19 crisis and its implications for fiscal policies Stephan Haroutunian, Sebastian Hauptmeier and Nadine Leiner-Killinger - ECB 2020
Common Eurobonds should become Europe’s safe asset – but they don’t need to be green Alexander Lehmann - Bruegel 2020

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