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Expert briefing
Publication date: 27 June 2016

The UK vote on June 23 to leave the EU ('Brexit') startled global financial players, putting pressure on leading central banks to stabilise markets and keep bank funding flowing…

Expert briefing
Publication date: 17 August 2016

The gains in global equities stem from the expanding universe of negative-yielding government bonds, which now account for nearly a third of the stock of global sovereign debt…

Expert briefing
Publication date: 16 May 2016

Italian banks and Atlante fund.

Expert briefing
Publication date: 13 January 2016

China's financial turmoil and its impact on global markets.

Expert briefing
Publication date: 13 October 2015

The IMF's warning, contained in its Global Financial Stability Report (GFSR), shows concerns for the vulnerabilities posed by the build-up of EM corporate debt, especially…

Expert briefing
Publication date: 9 April 2018

AI prospects in the financial sector

Expert briefing
Publication date: 22 May 2017

Emerging market corporate bonds enter bubble territory.

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DOI: 10.1108/OXAN-DB221008

ISSN: 2633-304X

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Expert briefing
Publication date: 8 January 2021

FDI reached USD40bn in April-September 2020, a 13% rise compared with the corresponding period in 2019. FPI totalled nearly USD23bn in 2020, up 58% from 2019.

Expert briefing
Publication date: 23 May 2019

The 2008-09 financial crisis led to consolidation of the EU banking sector through mergers and acquisitions (M&As) of mostly domestic banks. A few EU countries have highly…

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Expert briefing (21)
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