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List of Report
Title Author/Affiliation Year of Publication
The evolution of Public Debt vulnerabilities in lower income economies IMF 2020
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

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