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Islamic finance, Macroeconomic overviews, Debt market
Analytical commentary
20 Dec 2022
Financial stress indices
Research
8 Dec 2022
How likely is a global recession in 2022–2023?
Higher-than-expected indicators have partly appeared already. Could this time ‘be different’?
Macroeconomic overviews
Analytical commentary
2 Dec 2022
Macroeconomic overviews
Research
30 Nov 2022
Asia’s experience for the Russian market
The Asian Bond Markets Initiative is an example of the development of national currency debt capital markets
Debt market
Analytical commentary
29 Nov 2022
Bond market reset: trends
The debt market is returning to pre-crisis levels after a period of stress
in early 2022
Debt market
Analytical commentary
21 Sep 2022
Debt market
Analytical commentary
8 Sep 2022
Sri Lanka in default: causes and consequences
Reserves and fiscal discipline as essential factors for economic sustainability
Macroeconomic overviews
Analytical commentary
19 Jul 2022
Macroeconomic overviews
Analytical commentary
4 Jul 2022
Estimating parallel imports and their impact
Parallel imports as a new tool mitigating the effects of economic sanctions
Other
Analytical commentary
22 Jun 2022
Potential of Russia’s debt market
Bond placement outlook for the Russian market in 2022
Debt market
Analytical commentary
8 Jun 2022
Macroeconomic overviews
Analytical commentary
21 Feb 2022
Macroeconomic overviews
Analytical commentary
7 Feb 2022
Debt market
Analytical commentary
23 Dec 2021
Financial stress in Kazakhstan remains moderate against a backdrop of monetary stability
Financial stress index
Financial stress indices
Research
19 Dec 2021
Global Energy and Food Prices, Inflation in Russia
Russian economy: an updated forecast until 2025
Macroeconomic overviews
Forecast
22 Nov 2021
Svetlana Panicheva
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