Libros importados con hasta 50% OFF + Envío Gratis a todo USA  Ver más

menu

0
  • argentina
  • chile
  • colombia
  • españa
  • méxico
  • perú
  • estados unidos
  • internacional
portada Asia Bond Monitor - March 2018 (Asia Bond Monitor Series) (in English)
Type
Physical Book
Year
2018
Language
English
Pages
60
Format
Paperback
ISBN13
9789292611101

Asia Bond Monitor - March 2018 (Asia Bond Monitor Series) (in English)

Asian Development Bank (Author) · Asian Development Bank · Paperback

Asia Bond Monitor - March 2018 (Asia Bond Monitor Series) (in English) - Asian Development Bank

Physical Book

$ 17.68

$ 21.00

You save: $ 3.32

16% discount
  • Condition: New
It will be shipped from our warehouse between Wednesday, June 05 and Thursday, June 06.
You will receive it anywhere in United States between 1 and 3 business days after shipment.

Synopsis "Asia Bond Monitor - March 2018 (Asia Bond Monitor Series) (in English)"

The Asia Bond Monitor reviews recent developments in East Asian local currency bond markets along with the outlook, risks, and policy options. It covers the 10 members of the Association of Southeast Asian Nations plus the People’s Republic of China; Hong Kong, China; and the Republic of Korea.The continued recovery in the global economy has contributed to a rally in financial markets that lasted through January. Financial risk and volatility indicators—such as the CBOE Volatility Index, credit default swap spreads, and emerging market bond spreads—narrowed in January. However, a price correction in equity markets and an uptick in risk indicators were observed in the first week of February due to uncertainties in US macroeconomic policies and expectations of accelerated rate hikes by the Federal Reserve. Financial markets and volatility indicators subsequently stabilized, beginning in the middle of February.This issue of the Asia Bond Monitor includes two special discussion boxes. Box 1 discusses the short-term and long-term effects of global monetary policy normalization and the resultant tighter global liquidity in financial markets in the region.Box 2 discusses the effects of tighter global liquidity on financial stability in the region. It highlights the implications of rising interest rates on the region’s private debt that accumulated during the low global interest rate environment, and the impacts on the region’s aggregate demand and economic growth.

Customers reviews

More customer reviews
  • 0% (0)
  • 0% (0)
  • 0% (0)
  • 0% (0)
  • 0% (0)

Frequently Asked Questions about the Book

All books in our catalog are Original.
The book is written in English.
The binding of this edition is Paperback.

Questions and Answers about the Book

Do you have a question about the book? Login to be able to add your own question.

Opinions about Bookdelivery

More customer reviews