Page content
Reports Archive
Search mode by keywords
| Title | Author/Affiliation | Year of Publication |
|---|---|---|
| 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 |
| Uruguay in focus – July 2020 | Debt Management Unit of the Ministry of Economy and Finance of Uruguay | 2020 |
| Uruguay Sovereign Debt Report – July 2020 | Debt Management Unit (DMU) of the Ministry of Economy and Finance of Uruguay | 2020 |
| The impact of COVID-19 and Government intervention on Swaps Market Liquidity | Kevin McPartland - Greenwich | 2020 |
741-750 of 4313 elements