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OECD Journal: Financial Market Trends

2008 - 2016

Continuation of Financial Market Trends.

From OECD Publishing
Contact information at EDIRC.

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Volume 2016, issue 2, 2016

The evolution of insurer portfolio investment strategies for long-term investing pp. 1-55
Helmut Gründl, Ming (Ivy) Dong and Jens Gal
Green financing: Challenges and opportunities in the transition to a clean and climate-resilient economy pp. 63-78
Oecd

Volume 2016, issue 1, 2016

Analytical tools for the insurance market and macro-prudential surveillance pp. 1-47
W. Jean Kwon and Leigh Wolfrom
Estimating the size and incidence of bank resolution costs for selected banks in OECD countries pp. 1-36
Marianna Blix Grimaldi, Jörg Hofmeister, Sebastian Schich and Daniel Snethlage

Volume 2015, issue 2, 2016

Evaluating capital flow management measures used as macro-prudential tools pp. 7-27
Adrian Blundell-Wignall and Caroline Roulet
Reducing and sharing the burden of bank failures pp. 29-61
Jessica Cariboni, Alessandro Fontana, Sven Langedijk, Sara Maccaferri, Andrea Pagano, Marco Petracco Giudici, Michela Rancan and Sebastian Schich
Financial risks in the low-growth, low-interest rate environment pp. 63-90
Oecd

Volume 2015, issue 1, 2016

Finance and climate: The transition to a low-carbon and climate-resilient economy from a financial sector perspective pp. 7-23
Jean Boissinot, Doryane Huber and Gildas Lame
Financial instruments for managing disaster risks related to climate change pp. 25-47
Leigh Wolfrom and Mamiko Yokoi-Arai
Opportunities and limitations of public equity markets for SMEs pp. 49-84
Iota Kaousar Nassr and Gert Wehinger

Volume 2014, issue 2, 2015

Infrastructure versus other investments in the global economy and stagnation hypotheses: What do company data tell us? pp. 7-45
Adrian Blundell-Wignall and Caroline Roulet
Tracing the origins of the financial crisis pp. 47-61
Paul Ramskogler
Why implicit bank debt guarantees matter: Some empirical evidence pp. 63-88
Oliver Denk, Sebastian Schich and Boris Cournède
Unlocking SME finance through market-based debt: Securitisation, private placements and bonds pp. 89-190
Iota Kaousar Nassr and Gert Wehinger

Volume 2014, issue 1, 2014

Improving the monitoring of the value of implicit guarantees for bank debt pp. 7-37
Sebastian Schich, Michiel Bijlsma and Remco Mocking
Measurement and analysis of implicit guarantees for bank debt: OECD survey results pp. 39-67
Sebastian Schich and Yesim Aydin
Policy responses to the issue of implicit bank debt guarantees: OECD survey results pp. 69-98
Sebastian Schich and Yesim Aydin
Problems in the international financial system pp. 99-121
Adrian Blundell-Wignall and Caroline Roulet
Financing infrastructure – International trends pp. 123-138
Raffaele Della Croce and Stefano Gatti
Non-bank debt financing for SMEs: The role of securitisation, private placements and bonds pp. 139-162
Iota Kaousar Nassr and Gert Wehinger

Volume 2013, issue 2, 2014

Macro-prudential policy, bank systemic risk and capital controls pp. 7-28
Adrian Blundell-Wignall and Caroline Roulet
Capital controls on inflows, the global financial crisis and economic growth: Evidence for emerging economies pp. 29-42
Adrian Blundell-Wignall and Caroline Roulet
Bank business models and the Basel system: Complexity and interconnectedness pp. 43-68
Adrian Blundell-Wignall, Paul Atkinson and Caroline Roulet
Bank business models and the separation issue pp. 69-91
Adrian Blundell-Wignall, Paul Atkinson and Caroline Roulet
Institutional investors and ownership engagement pp. 93-114
Serdar Çelik and Mats Isaksson
SMEs and the credit crunch: Current financing difficulties, policy measures and a review of literature pp. 115-148
Gert Wehinger

Volume 2013, issue 1, 2013

Bank lending puzzles: Business models and the responsiveness to policy pp. 7-30
Adrian Blundell-Wignall and Caroline Roulet
Structural reform and supervision of the banking sector in France pp. 31-38
Édouard Fernandez-Bollo
Long-term investment, the cost of capital and the dividend and buyback puzzle pp. 39-52
Adrian Blundell-Wignall and Caroline Roulet
Equity markets, corporate governance and value creation pp. 53-84
Mats Isaksson and Serdar Çelik

Volume 2012, issue 2, 2013

Business models of banks, leverage and the distance-to-default pp. 7-34
Adrian Blundell-Wignall and Caroline Roulet
Developments in the value of implicit guarantees for bank debt: The role of resolution regimes and practices pp. 35-65
Sebastian Schich and Byoung-Hwan Kim
The future of the Asian economic and financial community pp. 67-78
Rintaro Tamaki
Banking in a challenging environment: Business models, ethics and approaches towards risks pp. 79-88
Gert Wehinger

Volume 2012, issue 1, 2012

Deleveraging, Traditional versus Capital Markets Banking and the Urgent Need to Separate and Recapitalise G-SIFI Banks pp. 7-44
Adrian Blundell-Wignall and Paul Atkinson
Implicit guarantees for bank debt: where do we stand? pp. 45-63
Sebastian Schich and Sofia Lindh
Bank deleveraging, the move from bank to market-based financing, and SME financing pp. 65-79
Gert Wehinger
Global imbalances and the development of capital flows among Asian countries pp. 81-112
Naoyuki Yoshino

Volume 2011, issue 2, 2012

Foreword pp. 3-3
Hans Blommestein, Ahmet Keskinler and Perla Ibarlucea Flores
Managing Crises without Government Guarantees: How Do We Get There? pp. 9-19
Christine M. Cumming
Sovereign and Banking Sector Debt: Interconnections through Guarantees pp. 21-45
Arturo Estrella and Sebastian Schich
Public Guarantees on Bank Bonds: Effectiveness and Distortions pp. 47-72
Giuseppe Grande, Aviram Levy, Fabio Panetta and Andrea Zaghini
The Potential Impact of Banking Crises on Public Finances: An Assessment of Selected EU Countries Using SYMBOL pp. 73-84
Francesca Campolongo, Massimo Marchesi and Riccardo De Lisa
The Fault Lines in Cross-Border Banking: Lessons from the Icelandic Case pp. 85-95
Már Guðmundsson
The Macro-Prudential Authority: Powers, Scope and Accountability pp. 97-123
Charles A.E. Goodhart
Developing a Framework for Effective Financial Crisis Management pp. 125-154
Dalvinder Singh and John Raymond LaBrosse
The Federal Agency for Financial Market Stabilisation in Germany: From Rescuing to Restructuring pp. 155-165
Christopher Pleister
The EU Architecture to Avert a Sovereign Debt Crisis pp. 167-197
Rodrigo Olivares-Caminal
Solving the Financial and Sovereign Debt Crisis in Europe pp. 201-224
Adrian Blundell-Wignall
The Financial Industry in the New Regulatory Landscape pp. 225-249
Gert Wehinger
Highlights from the OECD Sovereign Borrowing Outlook 2012 pp. 253-262
Hans Blommestein, Ahmet Keskinler and Perla Ibarlucea Flores
The Future of Debt Markets pp. 263-281
Hans Blommestein, Alison Harwood and Allison Holland
Index of Recent Features pp. 283-285
Oecd

Volume 2011, issue 1, 2011

Fostering Long-term Investment and Economic Growth Summary of a High-Level OECD Financial Roundtable pp. 9-29
Gert Wehinger
Financial Stability, Fiscal Consolidation and Long-Term Investment after the Crisis pp. 31-75
Franco Bassanini and Edoardo Reviglio
Lessons from the Last Financial Crisis and the Future Role of Institutional Investors pp. 77-82
Lars Rohde
Fostering Long-term Investment and Economic Growth: A Long-term Investor's View pp. 83-86
Olivier Mareuse
The Contribution of the Asset Management Industry to Long-term Growth pp. 87-96
Gian Luigi Costanzo
Infrastructure Needs and Pension Investments: Creating the Perfect Match pp. 97-109
Frederic Ottesen
Investing in Infrastructure: Getting the Conditions Right pp. 111-117
Martin Stanley
How to Foster Investments in Long-Term Assets such as Infrastructure pp. 119-127
Thierry Déau
Creating a Better Business Environment for Financing Business, Innovation and Green Growth pp. 129-140
Richard Pelly and Helmut Krämer-Eis
Financing Future Growth: The Need for Financial Innovations pp. 141-144
Zvi Bodie and Marie Brière
Promoting Longer-Term Investment by Institutional Investors: Selected Issues and Policies pp. 145-164
Raffaele Della Croce, Fiona Stewart and Juan Yermo
Global SIFIs, Derivatives and Financial Stability pp. 167-200
Adrian Blundell-Wignall and Paul Atkinson
Guarantee Arrangements for Financial Promises: How Widely Should the Safety Net be Cast? pp. 201-235
Sebastian Schich and Byoung-Hwan Kim
The Economic Impact of Protracted Low Interest Rates on Pension Funds and Insurance Companies pp. 237-256
Pablo Antolin, Sebastian Schich and Juan Yermo
Outlook for the Securitisation Market pp. 259-276
Hans Blommestein, Ahmet Keskinler and Carrick Lucas
OECD Statistical Yearbook on African Central Government Debt: Summary and Overview pp. 277-283
Hans Blommestein and Perla Ibarlucea Flores
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