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List of Report
Title Author/Affiliation Year of Publication
Sustainable Bonds Insight 2020 Environmental Finance 2020
Fiscal Panorama of Latin America and the Caribbean CEPAL.org 2020
The second wave of debt: EU Covid-19 funding and market reaction Antoine Bouvet, Benjamin Schroeder, Padhraic Garvey - ING 2020
Implications of financial market development for financial stability in emerging market economies Philip Wooldridg - CGFS - Committee on the Global Financial System 2020
Incorporating political risks into debt sustainability analysis Andrea Consiglio, Stavros Zenios - University of Palermo, University of Cyprus 2020
The evolution of OTC interest rate derivatives markets Torsten Ehlers, Bryan Hardy - BIS 2019
OTC derivatives: euro exposures rise and central clearing advances Sirio Aramonte, Wenqian Huang - BIS 2019
The risks of high public debt despite a low interest rate environment Andrea Presbitero, Ursula Wiriadinata - IMF 2020
Macroprudential regulation can effectively dampen global financial shocks in emerging markets Katharina Bergant, Francesco Grigoli, Niels-Jakob Hansen, Damiano Sandri - IMF 2020
Government Securities Market Figures 2nd Quarter 2020 Agence UMOA-Titres 2020

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