Tags: "Institutional Investors"

Results 51-57 of 57. Page 6 of 6

51. The role of Redenomination Risk in the Price Evolution of Italian Banks’ CDS Spreads

Sovereign risk premia The role of Redenomination Risk in the Price Evolution of Italian Banks’ CDS Spreads Sovereign debt exposureDerivatives University of Siena

53. Sovereign Debt in the 21st Century: Looking Backward, Looking Forward

Institutional Investors Sovereign Debt in the 21st Century: Looking Backward, Looking Forward Sovereign defaultsSovereign debt market Santa Clara University, Kie

54. The role of households in financing government debt in the euro area

Debt and fiscal/monetary policies The role of households in financing government debt in the euro area Institutional Investors Debt composition ECB Jeanne Pavot and Vilém Valenta Debt Policy COVID-19 Published as part of the ECB Economic Bulletin, Is

55. Building portfolios of sovereign securities with decreasing carbon footprints

Green bonds Building portfolios of sovereign securities with decreasing carbon footprints Climate changeBond market development BIS, University of Lausanne Gong

56. Bank use of sovereign CDS in the eurozone crisis: hedging and risk incentives

Sovereign CDS Bank use of sovereign CDS in the eurozone crisis: hedging and risk incentives Debt crisisDerivatives Reserve Bank of India, Deutsche Bundesbank Uni

57. MARKETS

Primary dealers Cash Management 5 MARKETS Primary market Transparency Trading platforms Market Liquidity Buybacks & Exchanges Institutional Investors In order to minimize cost and risk over the medium to long run, debt managers ensure that their poli