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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 2010, issue 2, 2011

Systemic Financial Crises: How to Fund Resolution pp. 1-34
Sebastian Schich and Byoung-Hwan Kim
Sovereign Debt Challenges for Banking Systems and Bond Markets pp. 1-34
Gert Wehinger
OECD Sovereign Borrowing Outlook No.3 pp. 1-15
Hans Blommestein, Eylem Vayvada Derya and Perla Ibarlucea Flores
A Market Perspective on the European Sovereign Debt and Banking Crisis pp. 9-36
Adrian Blundell-Wignall and Patrick Slovik
Risks in Financial Group Structures pp. 105-136
Stephen Lumpkin
Challenges and Developments in the Financial Systems of the Southeast Asian Economies pp. 137-159
Toshiyuki Shimada and Ting Yang
A Public Debt Management Perspective on Proposals for Restrictions on Short Selling of Sovereign Debt pp. 179-185
Hans Blommestein
Assessing the Labour, Financial and Demographic Risks to Retirement Income from Defined-Contribution Pensions pp. 189-217
Pablo Antolin and Stéphanie Payet
The Second Corporate Governance Wave in the Middle East and North Africa pp. 219-226
Alissa Koldertsova

Volume 2010, issue 1, 2010

Thinking beyond Basel III: Necessary Solutions for Capital and Liquidity pp. 9-33
Adrian Blundell-Wignall and Paul Atkinson
The Design of Government Guarantees for Bank Bonds: Lessons from the Recent Financial Crisis pp. 35-66
Aviram Levy and Sebastian Schich
Risks Ahead for the Financial Industry in a Changing Interest Rate Environment pp. 67-84
Gert Wehinger
Assessing Default Investment Strategies in Defined Contribution Pension Plans pp. 87-115
Pablo Antolin, Stéphanie Payet and Juan Yermo
Consumer Protection and Financial Innovation: A Few Basic Propositions pp. 117-139
Stephen Lumpkin
Debt Markets: Policy Challenges in the Post-Crisis Landscape pp. 143-169
Hans Blommestein, Vincenzo Guzzo, Allison Holland and Yibin Mu
A Suggested New Approach to the Measurement and Reporting of Gross Short- Term Borrowing Operations by Governments pp. 171-179
Hans Blommestein, Ove Sten Jensen and Thomas Olofsson
Statistical Yearbook on African Central Government Debt: Overview of a New OECD Publication pp. 181-187
Hans Blommestein and Thor Saari

Volume 2009, issue 2, 2010

The elephant in the room: The need to deal with what banks do pp. 1-27
Adrian Blundell-Wignall, Gert Wehinger and Patrick Slovik
The surge in borrowing needs of OECD governments: Revised estimates for 2009 and 2010 Outlook pp. 1-15
Hans Blommestein and Arzu Gok
Regulatory issues related to financial innovation pp. 1-31
Stephen Lumpkin
The financial industry and challenges related to post-crises exit strategies pp. 37-53
Gert Wehinger
Expanded guarantees for banks: Benefits, costs and exit issues pp. 55-89
Sebastian Schich
Insurance companies and the financial crisis pp. 123-151
Sebastian Schich
Private pensions and the financial crisis: How to ensure adequate retirement income from DC pension plans pp. 153-179
Pablo Antolin
Responding to the crisis: Changes in OECD government debt issuance procedures, portfolio management and primary dealer systems pp. 191-206
Hans Blommestein
Current and structural developments in the financial systems of OECD enhanced engagement countries pp. 209-263
John Thompson
Policy framework for effective and efficient financial regulation: General guidance and high-level checklist pp. 267-321
Oecd

Volume 2009, issue 1, 2009

Dealing with the crisis and thinking about the exit strategy pp. 11-28
Adrian Blundell-Wignall, Paul Atkinson and Se Hoon Lee
The turmoil and the financial industry: Developments and policy responses pp. 29-60
Gert Wehinger
The corporate governance lessons from the financial crisis pp. 61-87
Grant Kirkpatrick
Expanded government guarantees for bank liabilities: Selected issues pp. 89-123
Sebastian Schich
Private pensions and policy responses to the financial economic crisis pp. 127-141
Pablo Antolin and Fiona Stewart
Retirement saving and the payout phase: How to get there and how to get the most of it pp. 143-162
Ignazio Visco
Evaluating risk sharing in private pensions plans pp. 163-184
Hans Blommestein, Pascal Janssen, Niels Kortleve and Juan Yermo
OECD sovereign borrowing outlook 2009 pp. 187-195
Hans Blommestein and Arzu Gok
New challenges in the use of governement debt issuance procedures, techniques and policies in OECD markets pp. 197-208
Hans Blommestein
The role of stock exchanges in corporate governance pp. 209-238
Hans Christiansen and Alissa Koldertsova

Volume 2008, issue 2, 2009

Recent trends in institutional investors statistics pp. 1-22
Eric Gonnard, Eun Jung Kim and Isabelle Ynesta
Secondary market liquidity in domestic debt markets: Key policy conclusions pp. 1-6
Hans Blommestein, Alison Harwood, Philipp Anderson and Ceyla Pazarbasioglu
Households' wealth composition across OECD countries and financial risks borne by households pp. 1-25
Isabelle Ynesta
Ageing and the payout phase of pensions, annuities and financial markets pp. 1-19
Pablo Antolin
Revisiting the asset-meltdown hypothesis pp. 1-14
Sebastian Schich
Lessons from the financial market turmoil: Challenges ahead for the financial industry and policy makers pp. 1-40
Gert Wehinger
The current financial crisis: Causes and policy issues pp. 1-21
Adrian Blundell-Wignall, Paul Atkinson and Se Hoon Lee
Financial crisis: Deposit insurance and related financial safety net aspects pp. 1-39
Sebastian Schich
Resolutions of weak institutions: Lessons learned from previous crises pp. 1-42
Stephen Lumpkin
Pension fund governance: Challenges and potential solutions pp. 1-42
Fiona Stewart and Juan Yermo
Challenges for financial intermediaries offering asset decumulation products pp. 1-31
Sebastian Schich

Volume 2008, issue 1, 2008

The recent financial market turmoil, contagion risks and policy responses pp. 9-28
Oecd
The subprime crisis: Size, deleveraging and some policy options pp. 29-53
Adrian Blundell-Wignall
Financial turbulence: Some lessons regarding deposit insurance pp. 55-79
Sebastian Schich
Challenges related to financial guarantee insurance pp. 81-113
Sebastian Schich
Sovereign wealth & pension fund issues pp. 117-132
Adrian Blundell-Wignall, Yu-Wei Hu and Juan Yermo
Governance and investment of sovereign and public pension reserve funds in selected OECD countries pp. 133-161
Juan Yermo
Funding regulations and risk sharing pp. 163-196
Colin Pugh and Juan Yermo
Evaluating the impact of risk-based funding requirements on pension funds pp. 197-219
Jordy Peek, Andreas Reuss and Gerhard Scheuenstuhl
Use of derivatives for debt management and domestic debt market development: Key conclusions pp. 223-235
Hans Blommestein, Das Udaibir, Alison Harwood, Ceyla Pazarbasiogl and Anderson Silva
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