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Sovereign Borrowing Outlook, previously a separate OECD publication, and introduces new chapters on corporate bond markets and … corporate bond market dynamics, build-up of risks and vulnerabilities and the impact of a changing macrofinancial landscape …. Chapter 3 looks at trends in global sustainable bond markets and discusses policy considerations such as the sustainability …
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, Uzbekistan's regulatory framework for debt capital markets and emerging opportunities for further green bond use aimed at key …
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Cet ouvrage constitue une source autorisée d’informations récentes sur les marchés des titres d’emprunt d’Amérique du Nord, de la région Asie-Pacifique et d’Europe. Rédigé par les responsables nationaux de la gestion de la dette publique eux-mêmes, il donne un aperçu sans...
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bond markets. As it is drafted by the OECD debt managers themselves, it provides a unique overview of the best practices on …
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This report provides the first comprehensive study of publicly capitalised green investment banks (GIBs), analysing the rationales, mandates and financing activities of this relatively new category of public financial institution. Based on the experience of over a dozen GIBs and GIB-like...
Persistent link: https://www.econbiz.de/10012451443
This publication is a sequel to the OECD 2015 report on Social Impact Investment (SII), Building the Evidence Base, bringing new evidence on the role of SII in financing sustainable development. It depicts the state of play of SII approaches globally, comparing regional trends, and assesses its...
Persistent link: https://www.econbiz.de/10012451771
While sustainable finance approaches are increasingly used by financial market participants, a number of challenges still undermine and hinder the efficient mobilisation of capital to support environmental, social and governance (ESG), and climate-related objectives. These challenges include...
Persistent link: https://www.econbiz.de/10013457906