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Expert briefing
Publication date: 15 July 2015

This month, 3 trillion dollars had been wiped off the value of all listed companies since a seven-year high on June 12, undermining confidence in the government's ability to steer…

Expert briefing
Publication date: 28 October 2015

Foreign investment in local government bond 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: 18 January 2016

The currency and debt markets of Central-Eastern Europe (CEE) are proving resilient to fallout from the turmoil in China's financial markets, now the primary determinant of…

Expert briefing
Publication date: 2 July 2021

However, supply is struggling to keep pace with demand, and dislocation effects plus shortages of some critical goods and workers are raising prices. GDP growth forecasts for 2021…

Expert briefing
Publication date: 10 June 2016

Political and policy risks in Emerging Europe.

Expert briefing
Publication date: 31 March 2022

Rising interest rates and commodity prices, and cheap stock market assets have been key factors in attracting capital. As a result, the real appreciated from around BRL5.7:USD1 in…

Expert briefing
Publication date: 22 December 2017

The risks to Emerging Europe’s bond markets from the removal of monetary stimulus.

Details

DOI: 10.1108/OXAN-DB227685

ISSN: 2633-304X

Keywords

Geographic
Topical
Expert briefing
Publication date: 24 September 2018

Central Europe’s resilience to EM sell-off.

Expert briefing
Publication date: 6 February 2017

Cooperation between South-east Asian countries on currencies.

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