The size and direction of the risk premium signify secular shifts in capital markets returns and asset-allocation decisions. Since early 2024, as U.S. equity markets rallied to new highs and bond ...
The global financial crisis of 2008-09 led to tightening of capital standards for banks. That, in turn, led to loans to small- and middle-market companies becoming unattractive to banks, shutting out ...
Download PDF More Formats on IMF eLibrary Order a Print Copy Create Citation This study investigates carbon pricing-induced credit risk, the potential negative impact of carbon pricing on firms’ ...
The Federal Reserve is going to have a tough time unwinding the credit risk it’s absorbing amid the novel coronavirus, Allianz Chief Economic Adviser Mohamed El-Erian told Yahoo Finance in a new ...