The Polish Fixed-income Securities Market

The Polish Fixed-income Securities Market
Author: Noritaka Akamatsu
Publisher: World Bank Publications
Total Pages: 78
Release: 2007
Genre: Business & Economics
ISBN: 0821368931

This book analyzes the recent evolution of the Polish fixedincome securities market, including the money market, the government bond market, and the non-government bond market, focusing in particular on the sub-national bond market. The book examines key policy challenges facing the development of the sector, including policies to: stimulate the development of the classic repo market, increase the reliability of the government bond yield curve, stimulate the overall development of the non-government bond market, and reform the legal and regulatory framework for local government borrowing.

The Complete Practitioner's Guide to the Bond Market (PB)

The Complete Practitioner's Guide to the Bond Market (PB)
Author: Steven Dym
Publisher: McGraw Hill Professional
Total Pages: 466
Release: 2010-01-08
Genre: Business & Economics
ISBN: 0071713727

A comprehensive, practical guidebook to bonds and the bond market Speaking directly to the practitioner, this thorough guide covers everything there is to know about bonds—from basic concepts to more advanced bond topics. The Complete Practitioner’s Guide to the Bond Market addresses the principles of the bond market and offers the tools to apply them in the real world. By tying the concepts of fixed-income products to big-picture aspects of the economy, this book prepares readers to apply specific tools and methods that will help them glean profits from the bond market.

The Handbook of Fixed Income Securities, Ninth Edition

The Handbook of Fixed Income Securities, Ninth Edition
Author: Frank J. Fabozzi
Publisher: McGraw Hill Professional
Total Pages: 1840
Release: 2021-07-09
Genre: Business & Economics
ISBN: 1260473902

The definitive guide to fixed income securities―updated and revised with everything you need to succeed in today’s market The Handbook of Fixed Income Securities has been the most trusted resource for fixed income investing for decades, providing everything sophisticated investors need to analyze, value, and manage fixed income instruments and their derivatives. But this market has changed dramatically since the last edition was published, so the author has revised and updated his classic guide to put you ahead of the curve. With chapters written by the leading experts in their fields, The Handbook of Fixed Income Securities, Ninth Edition provides expert discussions about: Basics of Fixed Income Analytics Treasuries, Agency, Municipal, and Corporate Bonds Mortgage-Backed and Asset-Backed Securities The Yield Curve and the Term Structure Valuation and Relative Value Credit Analysis Portfolio Management and Strategies Derivative Instruments and their Applications Performance Attribution Analysis The Handbook of Fixed Income Securities is the most inclusive, up-to-date source available for fixed income facts and analyses. Its invaluable perspective and insights will help you enhance investment returns and avoid poor performance in the fixed income market.

Transforming Green Bond Markets

Transforming Green Bond Markets
Author: Juan Antonio Ketterer
Publisher: Inter-American Development Bank
Total Pages: 36
Release: 2019-09-27
Genre: Technology & Engineering
ISBN:

Despite exhibiting remarkable growth, the green bond market still represents less than 1 percent of the global bond market. This paper identifies two challenges that might slow the adoption of green bonds and presents a menu of responses that policymakers, regulators, and public financial institutions can use to offset these challenges. Specifically, it explores two key dimensions: (i) the risk profile of the green bond instrument and (ii) the transaction costs associated with issuance of and reporting on green bonds. New approaches to risk design and technology-based approaches are essential to untap the potential of green bond markets, particularly in Latin America and the Caribbean and other developing regions. The incorporation of financial mechanisms such as covered bonds and guarantees can adequately address the risk of the issues, making the market more attractive for investors. Enhanced regulation and education and leveraging efficiencies of new technologies such as distributed ledger technologies can substantially reduce monitoring and reporting costs, while improving transparency in the use of proceeds and market integrity.

The Microstructure of Government Securities Markets

The Microstructure of Government Securities Markets
Author: Mr.Peter Dattels
Publisher: International Monetary Fund
Total Pages: 106
Release: 1995-11
Genre: Business & Economics
ISBN:

This paper applies the “market microstructure” literature to the specific features of government securities markets and draws implications for the strategy to develop government securities markets. It argues for an active role of the authorities in fostering the development of efficient market structures.

Guidance Note For Developing Government Local Currency Bond Markets

Guidance Note For Developing Government Local Currency Bond Markets
Author: International Monetary Fund
Publisher: International Monetary Fund
Total Pages: 157
Release: 2021-03-12
Genre: Business & Economics
ISBN: 1513573926

This guidance note was prepared by International Monetary Fund (IMF) and World Bank Group staff under a project undertaken with the support of grants from the Financial Sector Reform and Strengthening Initiative, (FIRST).The aim of the project was to deliver a report that provides emerging market and developing economies with guidance and a roadmap in developing their local currency bond markets (LCBMs). This note will also inform technical assistance missions in advising authorities on the formulation of policies to deepen LCBMs.

European Fixed Income Markets

European Fixed Income Markets
Author: Jonathan A. Batten
Publisher: John Wiley & Sons
Total Pages: 504
Release: 2004-04-21
Genre: Business & Economics
ISBN: 0470092874

The introduction of the euro in 1999 cast a new focus on the financial markets of constituent euro-zone countries, which have subsequently emerged with the second largest bond market in the world. This new book offers in depth insights and advice for any practitioner in the European fixed-income and ancillary derivative markets, and includes in-depth analysis of euro and non-euro markets as well as emerging countries.

Central Europe towards Monetary Union: Macroeconomic Underpinnings and Financial Reputation

Central Europe towards Monetary Union: Macroeconomic Underpinnings and Financial Reputation
Author: Ronald MacDonald
Publisher: Springer Science & Business Media
Total Pages: 286
Release: 2012-12-06
Genre: Business & Economics
ISBN: 1461513855

A key objective of the Central European Economies (CEE) on their transition path from planned to more market-oriented economies has been membership of the European Union (EU). The start of Economic and Monetary Union (EMU) in 1999 has added membership of the EMU to the agenda for the CEEs. The task of the so-called Visègrad countries (the Czech and Slovak Republics, Hungary and Poland) of preparing for EU and EMU membership is the key theme underlying the papers contained in this volume. There are many issues to be resolved before the Visègrad countries are admitted into the EU, and this volume focuses on the issues relating to macroeconomic policies and financial sector structures. The chapters of Central Europe Towards Monetary Union: Macroeconomic Underpinnings and Financial Reputation contain new theoretical and empirical results and also comprehensive institutional overviews. The intended readership of the book is policy makers and economists working in the academic and financial sectors.

Improving Financial Education and Awareness on Insurance and Private Pensions

Improving Financial Education and Awareness on Insurance and Private Pensions
Author: OECD
Publisher: OECD Publishing
Total Pages: 160
Release: 2008-07-28
Genre:
ISBN: 9264046399

Individuals face an increasing variety of financial risks, including those linked to their retirement. At the same time, public funding has been reduced or is strictly limited in most countries. Private insurance and pensions products therefore play ...

Improving Financial Literacy Analysis of Issues and Policies

Improving Financial Literacy Analysis of Issues and Policies
Author: OECD
Publisher: OECD Publishing
Total Pages: 181
Release: 2005-11-10
Genre:
ISBN: 9264012575

This book describes the different types of financial education programmes currently available in OECD countries, evaluates their effectiveness, and makes suggestions to improve them.