Search results

1 – 9 of 9
Expert briefing
Publication date: 11 November 2015

Risks surrounding increased foreign participation in EM bond markets.

Expert briefing
Publication date: 23 March 2022

Russia's exclusion from international financial markets presents high risks to macroeconomic stability in the short and longer term. Sovereign rating downgrades to 'junk' indicate…

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: 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: 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: 9 June 2015

The overseas activities of Japan's megabanks.

Details

DOI: 10.1108/OXAN-DB200125

ISSN: 2633-304X

Keywords

Geographic
Topical
1 – 9 of 9