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Expert briefing
Publication date: 13 October 2021

An examination of the factors behind the expansion indicates that outsized balance sheets will persist and will pose a number of macroeconomic risks.

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DOI: 10.1108/OXAN-DB264676

ISSN: 2633-304X

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Expert briefing
Publication date: 18 April 2024

The Fed and ECB seem set to diverge, with the latter expected to cut rates in June. There is a rising prospect, bolstered by the resilient US labour market and Middle East…

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DOI: 10.1108/OXAN-DB286511

ISSN: 2633-304X

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Expert briefing
Publication date: 1 June 2021

Some economists are suggesting that, over the longer term, this could cause financial markets to stop buying US debt and charge prohibitively high rates, and cause the dollar to…

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DOI: 10.1108/OXAN-DB261815

ISSN: 2633-304X

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Expert briefing
Publication date: 20 August 2019

US debt dynamics.

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DOI: 10.1108/OXAN-DB245904

ISSN: 2633-304X

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Expert briefing
Publication date: 24 July 2023

US corporate debt default and bankruptcy stress is at its most intense for more than a decade in the face of higher interest rates, elevated inflation and a slowing economy. There…

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DOI: 10.1108/OXAN-DB280733

ISSN: 2633-304X

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Expert briefing
Publication date: 6 January 2016

US monetary policy outlook for 2016 and its global impact.

Expert briefing
Publication date: 4 September 2019

Financial market outlook.

Expert briefing
Publication date: 19 January 2016

The latest annual report of the Securities and Exchange Commission (SEC) on credit ratings agencies (CRAs).

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DOI: 10.1108/OXAN-DB207909

ISSN: 2633-304X

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Expert briefing
Publication date: 20 January 2023

This repricing of fixed income markets has caused the global stock of negative-yielding government and corporate debt to vanish -- it stood at over USD18tn in late 2020. Bonds are…

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DOI: 10.1108/OXAN-DB275435

ISSN: 2633-304X

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Expert briefing
Publication date: 6 December 2018

Outlook for US financial markets.

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DOI: 10.1108/OXAN-DB240398

ISSN: 2633-304X

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Geographic
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1 – 10 of 33