The transition to risk-free rates in the bond market
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2019 |
Richards, Paul |
The maze of Brexit uncertainty : economic and financial implications for the UK economy
|
2019 |
Motamen-Scobie, Homa |
U.S. growing deficit and public debt
|
2019 |
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Factors impacting secondary bond markets
|
2019 |
Hill, Andy |
On the Latin American term premiums
|
2019 |
Ramos-Francia, Manuel |
International coordination of macroprudential policies
|
2019 |
Ramos-Francia, Manuel |
Model methodology and framework for supervisory stress test of the US Federal Reserve
|
2019 |
|
Changes in global labour markets
|
2018 |
|
Monetary policy amidst NAFTA negotiations and other sources of uncertainty
|
2018 |
Guzmán Calafell, Javier |
End of QE and rising interest rates : implications for advanced and emerging economies
|
2018 |
Guzmán Calafell, Javier |
Ramifications of the Global Financial Crisis : an overview
|
2018 |
Ramos-Francia, Manuel |
On the dynamics of sovereign debt pricing
|
2018 |
Ramos-Francia, Manuel |
Gravity models vs CGE models : an application to forecasting trade flows with Brexit
|
2018 |
|
Developments in loans to households in the euro-area
|
2018 |
|
Mexico's monetary policy and economic outlook
|
2018 |
Guzmán Calafell, Javier |
Selected aspects of financial aid and sovereign default
|
2018 |
Ramos-Francia, Manuel |
Current issues in financial policy and regulation
|
2017 |
Signorini, Luigi Federico |
The macroprudential governance framework and its implications for the effectiveness of macroprudential policies
|
2017 |
Smets, Jan |
Designing incentives : tax compliance versus financial regulation compliance
|
2017 |
Myles, Gareth D. |
The principal-agent model
|
2017 |
Myles, Gareth D. |