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1. Inferring Intermediary Risk Exposure from Trade.

2. Flood Risk Exposures and Mortgage-Backed Security Asset Performance and Risk Sharing.

4. The effect of IMF communication on government bond markets: insights from sentiment analysis.

5. The papers I can't write.

6. Asymmetric Information and Corporate Lending: Evidence from SME Bond Markets.

7. A volatility spillover analysis between bond and commodity markets as an indicator for global liquidity risk

8. Is idiosyncratic tail risk priced in the cross-section of bond returns? –Evidence from Chinese bond markets.

9. Globalization and Austerity: Flipping Partisan Effects on Fiscal Policy During (Recent) International Crises.

10. Event studies in international finance research.

14. BOND AND DERIVATIVES MARKETS.

15. Financial system specialization and private research and development expenditure: research for OECD countries

16. Does time-varying risk aversion sentiment matter in the connectedness among Sub-Saharan African bond markets?

17. Financial Spillovers in Asian Emerging Economies

19. Green bonds, sustainable development and environmental policy in the European Union carbon market.

20. Financial system specialization and private research and development expenditure: research for OECD countries.

22. Effects of US Monetary Policy on Eastern European Financial Markets

23. The Impact of Treasury Yields on US Presidential Approval, 1960–2010.

24. DRIVERS OF THE BOND MARKET PREMIUM IN OPEN AND SMALL ECONOMIES AROUND THE EUROZONE.

25. Reading risk: The practices, limits and politics of municipal bond rating.

26. Foreign bond investors and market discipline.

28. Long-memory, self-similarity and scaling of the long-term government bond yields: Evidence from Turkey and the USA

29. Empirical Evidences on the Interconnectedness between Sampling and Asset Returns’ Distributions

30. Panda bonds: opportunity or threat for Europe?

31. On international integration of emerging sovereign bond markets.

32. How does capital structure change product-market competitiveness? Evidence from Chinese firms.

33. Introduction

34. Conclusion

35. General Component Analysis (GCA): A new approach to identify Chinese corporate bond market structures.

36. Effects of US Monetary Policy on Eastern European Financial Markets.

37. Dependence of credit spread and macro-conditions based on an alterable structure model.

39. Financial system specialization and private research and development expenditure: research for OECD countries

40. Chapter 10 Challenger bank as a new digital form of providing financial services to retail customers in the EU Internal Market

41. Chapter 2 European financial institution physical geolocation and the high-frequency trading potential

42. Free Silver and Financial Frictions

43. The impact of unconventional monetary policy on firm financing constraints: Evidence from the maturity extension program.

46. The October 2014 United States Treasury bond flash crash and the contributory effect of mini flash crashes.

47. The Determinants of Bond Market Development: Further Evidence from Emerging and Developed Countries.

48. Fundamental indexation for developed, emerging, and frontier government bond markets.

49. Study of the cross-market effects of Brexit based on the improved symbolic transfer entropy GARCH model—An empirical analysis of stock–bond correlations.

50. Implicit Inflation and Risk Premiums in the Brazilian Fixed Income Market.

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