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1. |
Title:
Treasury Bills and/or Central Bank Bills for Absorbing Surplus Liquidity: The Main Considerations
Author/Editor: Nyawata, Obert
Series: Working Paper No. 12/40
Published: January 1, 2012
Subject(s): Banking sector | Bond issues | Central banks | Excess liquidity | Liquidity management | Monetary operations
Author's keyword(s):
Consolidated public sector | monetary policy | liquidity management
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2. |
Title:
The Development of Local Debt Markets in Asia
Author/Editor: Goswami, Mangal ; Sharma, Sunil
Series: Working Paper No. 11/132
Published: June 1, 2011
Subject(s): Access to capital markets | Asia | Bond issues | Bond markets | Borrowing | Capital markets | Corporate sector | Debt management | Emerging markets | External financing
Author's keyword(s):
Capital markets; local currency debt markets; investor base; liquidity; bank lending; derivative markets; regulatory framework.
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3. |
Title:
Government Debt Issuance in the Euro Area:The Impact of the Financial Crisis
Author/Editor: de Broeck, Mark ; Guscina, Anastasia
Series: Working Paper No. 11/21
Published: January 1, 2011
Subject(s): Bond issues | Cross country analysis | Debt refinancing | Euro Area | Financial crisis | Global Financial Crisis 2008-2009 | Sovereign debt
Author's keyword(s):
sovereign debt | fiscal policy | sovereign debt management
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4. |
Title:
Kenya: 2008 Article IV Consultation - Staff Report; Staff Supplement; Public Information Notice on the Executive Board Discussion; and Statement by the Executive Director for Kenya
Series: Country Report No. 08/339
Published: October 17, 2008
Subject(s): Article IV consultations | Bond issues | Capital inflows | Current account deficits | Economic growth | Exports | Financial crisis | Political economy | Private sector | Public debt | Real effective exchange rates | Kenya
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5. |
Title:
Investors’ Risk Appetite and Global Financial Market Conditions
Author/Editor: González-Hermosillo, Brenda
Series: Working Paper No. 08/85
Published: April 1, 2008
Subject(s): Bond issues | Financial risk | Liquidity | Spillovers | International capital markets | Economic models
Author's keyword(s):
market risk | liquidity risk | volatility risk | default risk | risk appetite
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6. |
Title:
High and Volatile Treasury Yields in Tanzania:The Role of Strategic Bidding and Auction Microstructure
Author/Editor: Abbas, S. M. Ali ; Sobolev, Yuri Vladimirovich
Series: Working Paper No. 08/81
Published: March 1, 2008
Subject(s): Bonds | Tanzania | Bond issues | Debt burden | Bank credit
Author's keyword(s):
Treasury bill yields | government securities auctions | oligopolistic bidding | collusion | auction microstructure
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7. |
Title:
Financing of Global Imbalances
Author/Editor: Walker, W. Christopher ; Punzi, Maria Teresa
Series: Working Paper No. 07/177
Published: July 1, 2007
Subject(s): United States | Bond issues | Capital flows | Interest rate differential
Author's keyword(s):
Home bias | panel VAR | US bond inflows
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8. |
Title:
Exchange Rate Policy and Sovereign Bond Spreads in Developing Countries
Author/Editor: Jahjah, Samir ; Yue, Vivian Z.
Series: Working Paper No. 04/210
Published: November 1, 2004
Subject(s): Exchange rate regimes | Bond issues | Developing countries | Debt | Credit | Financial crisis | Economic models
Author's keyword(s):
Sovereign Credit Spreads | Exchange Rate Regimes | Overvaluation | Debt Crises
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9. |
Title:
Does SDDS Subscription Reduce Borrowing Costs for Emerging Market Economies
Author/Editor: Cady, John
Series: Working Paper No. 04/58
Published: April 1, 2004
Subject(s): Public debt | Emerging markets | International capital markets | External borrowing | Data analysis | Bond issues | Transparency | Standards and codes | Special Data Dissemination Standard
Author's keyword(s):
Sovereign debt and yield spreads | international capital markets | standards and codes | data transparency | SDDS
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10. |
Title:
Internal Models, Subordinated Debt, and Regulatory Capital Requirements for Bank Credit Risk
Author/Editor: Kupiec, Paul H.
Series: Working Paper No. 02/157
Published: September 1, 2002
Subject(s): Capital controls | Bond issues | Debt management | Investment | Credit risk | Economic models
Author's keyword(s):
Regulatory capital requirements | credit VaR | subordinated debt | internal risk models
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11. |
Title:
Reviving the Case for GDP-Indexed Bonds
Author/Editor: Borensztein, Eduardo ; Mauro, Paolo
Series: Policy Discussion Paper No. 02/10
Published: September 1, 2002
Subject(s): Bond issues | Gross domestic product | Indexation | Emerging markets
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12. |
Title:
Bond Restructuring and Moral Hazard: Are Collective Action Clauses Costly?
Author/Editor: Becker, Törbjörn I. ; Richards, Anthony J. ; Thaicharoen, Yunyong
Series: Working Paper No. 01/92
Published: August 1, 2001
Subject(s): Collective action clauses | Bonds | Emerging markets | Bond issues | Economic models
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13. |
Title:
The Mexican Financial Crisis - A Test of the Resilience of the Markets for Developing Country Securities
Author/Editor: Andrew, David ; Ishii, Shogo
Series: Working Paper No. 95/132
Published: December 1, 1995
Subject(s): Capital flows | Mexico | Bonds | Bond issues | Securities markets
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14. |
Title:
Historical Experience with Bond Financing to Developing Countries
Author/Editor: Fernandez-Ansola, Juan Jose ; Laursen, Thomas
Series: Working Paper No. 95/27
Published: March 1, 1995
Subject(s): Bonds | Developing countries | Bond markets | Bond issues
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