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1 – 10 of 110The 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…
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DOI: 10.1108/OXAN-DB205932
ISSN: 2633-304X
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Geographic
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The risks to Emerging Europe’s bond markets from the removal of monetary stimulus.
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DOI: 10.1108/OXAN-DB227685
ISSN: 2633-304X
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The limited rate hike (annual core inflation is running at 47%) has undermined foreign investors’ hopes that President Recep Tayyip Erdogan’s new economic team would be free to…
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DOI: 10.1108/OXAN-DB280020
ISSN: 2633-304X
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The prospects for structural reform.
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DOI: 10.1108/OXAN-DB207630
ISSN: 2633-304X
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The improvement in investor sentiment stems mainly from the stabilisation of oil prices and an easing of concerns about China's economy, lifting asset prices in emerging markets…
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DOI: 10.1108/OXAN-DB209833
ISSN: 2633-304X
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Despite dramatic depreciation of the lira since early March, the TCMB is likely to continue cutting its benchmark one-week repo rate, now at 8.75%, as it tries to mitigate the…
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DOI: 10.1108/OXAN-DB252635
ISSN: 2633-304X
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This follows the decision by the Central Bank of the Republic of Turkey (CBRT) on August 18 to keep its three main interest rates on hold. Despite the CBRT also announcing a 'road…
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DOI: 10.1108/OXAN-DB202838
ISSN: 2633-304X
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Prospects for emerging economies to end-2018.
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DOI: 10.1108/OXAN-DB235729
ISSN: 2633-304X
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S&P is concerned that the political fallout from the failed July 15-16 military coup will make it more difficult for the country to meet its large external financing requirements…
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DOI: 10.1108/OXAN-DB212581
ISSN: 2633-304X
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Geographic
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Central Europe’s resilience to EM sell-off.